Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
Starbucks Corp.20,620,612$1,094,335,879
United Parcel Service Inc. Class B9,719,106$1,047,330,863
Union Pacific Corp.11,714,081$1,032,947,663
Priceline Group Inc.697,776$1,028,682,312
Accenture plc Class A8,756,118$1,017,811,156
US Bancorp22,638,274$1,013,289,144
Eli Lilly & Co.13,662,843$1,008,864,327
Texas Instruments Inc.14,105,481$999,373,329
Walgreens Boots Alliance Inc.12,020,550$994,460,102
Mondelez International Inc. Class A21,864,236$982,578,766
Time Warner Inc.10,932,627$972,894,477
NIKE Inc. Class B18,955,419$951,182,925
Broadcom Ltd.5,559,779$946,719,168
Goldman Sachs Group Inc.5,301,305$944,904,603
Costco Wholesale Corp.6,159,598$910,819,756
Colgate-Palmolive Co.12,557,350$896,092,496
American International Group Inc.14,300,166$882,320,242
Lockheed Martin Corp.3,550,708$874,823,437
Biogen Inc.3,081,258$863,306,866
Dow Chemical Co.15,858,431$853,342,172
EI du Pont de Nemours & Co.12,294,693$845,751,931
NextEra Energy Inc.6,570,954$841,082,112
Chubb Ltd.6,543,043$830,966,461
Simon Property Group Inc.4,423,937$822,675,325
Lowe's Cos. Inc.12,290,613$819,169,356
Thermo Fisher Scientific Inc.5,537,199$814,134,369
Abbott Laboratories20,652,946$810,421,601
Occidental Petroleum Corp.10,735,110$782,696,870
Duke Energy Corp.9,682,266$774,774,925
Charter Communications Inc. Class A3,046,320$761,244,905
ConocoPhillips17,405,702$756,277,752
Netflix Inc.6,028,421$752,768,930
Adobe Systems Inc.7,001,076$752,685,681
Kraft Heinz Co.8,374,822$744,940,417
American Express Co.10,923,606$725,545,911
MetLife Inc.15,439,592$725,043,240
Southern Co.13,764,992$709,860,637
American Tower Corporation5,984,369$701,308,203
EOG Resources Inc.7,735,642$699,456,750
Morgan Stanley20,681,371$694,273,624
Caterpillar Inc.8,202,828$684,608,025
salesforce.com Inc.9,050,403$680,228,289
TJX Cos. Inc.9,220,717$680,027,879
Danaher Corp.8,541,851$670,962,396
Dominion Resources Inc./VA8,812,033$662,664,882
PNC Financial Services Group Inc.6,920,474$661,597,314
PayPal Holdings Inc.15,777,640$657,296,482
Bank of New York Mellon Corp.15,028,852$650,298,426
Ford Motor Co.54,895,742$644,476,011
Reynolds American Inc.11,638,713$641,060,312
508 Holdings
51-100 of 508 | <Prev  Next>