Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
Union Pacific Corp.10,023,314$1,011,452,616
Goldman Sachs Group Inc.4,607,722$950,066,199
Honeywell International Inc.8,901,627$927,549,533
American International Group Inc.15,609,494$914,872,443
ConocoPhillips14,006,035$891,904,309
Starbucks Corp.17,055,722$886,215,315
Eli Lilly & Co.11,120,709$877,423,940
US Bancorp/MN20,258,370$873,338,331
Walgreens Boots Alliance Inc.9,917,545$851,322,063
Abbott Laboratories17,162,418$834,093,515
NIKE Inc. Class B7,959,034$809,194,987
Kinder Morgan Inc./DE19,381,017$804,118,395
Time Warner Inc.9,445,928$797,991,997
American Express Co.9,968,829$794,715,048
United Parcel Service Inc. Class B7,904,135$784,248,275
Mondelez International Inc. Class A18,760,339$780,242,499
Lowe's Cos. Inc.11,065,446$774,359,911
eBay Inc.12,523,892$768,466,013
EI du Pont de Nemours & Co.10,297,834$731,249,192
Express Scripts Holding Co.8,267,402$720,421,410
Costco Wholesale Corp.5,004,034$713,525,208
Twenty-First Century Fox Inc. Class A20,796,239$698,753,630
Priceline Group Inc.590,698$692,321,684
Hewlett-Packard Co.20,671,976$690,443,998
Accenture plc Class A7,144,033$686,112,929
Occidental Petroleum Corp.8,763,874$685,247,308
Ford Motor Co.44,992,913$682,542,490
Morgan Stanley17,535,244$669,846,321
Texas Instruments Inc.11,909,619$665,985,894
MetLife Inc.12,709,326$664,189,377
Colgate-Palmolive Co.9,697,744$647,712,322
Dow Chemical Co.12,376,999$644,470,338
Monsanto Co.5,496,665$642,999,872
Simon Property Group Inc.3,535,513$641,342,058
McKesson Corp.2,648,233$628,240,315
Duke Energy Corp.8,047,403$609,429,829
Danaher Corp.6,983,618$602,825,906
EMC Corp./MA22,611,455$595,585,725
Caterpillar Inc.6,894,255$588,217,837
Thermo Fisher Scientific Inc.4,512,901$585,007,357
Time Warner Cable Inc.3,194,905$577,926,365
Target Corp.7,244,512$574,634,692
Lockheed Martin Corp.3,050,951$574,188,978
PNC Financial Services Group Inc.5,922,067$566,682,591
Kraft Foods Group Inc.6,687,459$564,755,913
General Motors Co.15,385,071$553,401,004
EOG Resources Inc.6,237,798$553,230,305
Bank of New York Mellon Corp.12,668,856$549,321,596
BlackRock Inc.1,442,870$527,772,989
Capital One Financial Corp.6,273,582$524,220,512
505 Holdings
51-100 of 505 | <Prev  Next>