Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
NIKE Inc. Class B17,077,925$1,006,572,900
QUALCOMM Inc.18,912,408$955,454,852
Union Pacific Corp.10,709,107$934,155,404
Eli Lilly & Co.12,314,543$930,117,433
United Parcel Service Inc. Class B8,732,244$917,496,877
Accenture plc Class A7,941,495$896,753,615
US Bancorp20,662,526$882,083,235
Lowe's Cos. Inc.11,578,136$880,169,899
Walgreens Boots Alliance Inc.10,918,910$865,651,185
Mondelez International Inc. Class A19,849,754$852,745,432
Priceline Group Inc.627,780$843,522,875
Costco Wholesale Corp.5,564,223$824,228,353
Goldman Sachs Group Inc.4,968,727$815,417,788
American International Group Inc.14,543,573$811,822,245
Colgate-Palmolive Co.11,295,445$801,072,959
Simon Property Group Inc.3,914,847$787,549,771
Lockheed Martin Corp.3,322,607$772,107,415
Biogen Inc.2,766,818$760,847,282
Time Warner Cable Inc.3,584,329$760,272,024
Time Warner Inc.9,993,442$750,907,232
ConocoPhillips15,641,841$747,523,581
Dow Chemical Co.14,134,971$743,640,824
Occidental Petroleum Corp.9,665,245$740,841,029
Danaher Corp.7,564,447$731,860,247
EI du Pont de Nemours & Co.11,029,585$726,959,947
Texas Instruments Inc.12,719,912$725,543,780
Abbott Laboratories18,640,221$725,104,597
Thermo Fisher Scientific Inc.5,013,914$723,257,095
Chubb Ltd.5,831,434$687,292,811
Duke Energy Corp.8,710,550$686,217,129
NextEra Energy Inc.5,828,306$685,292,219
Broadcom Ltd.4,691,936$683,849,672
American Express Co.10,368,893$678,436,669
Ford Motor Co.49,332,538$668,949,215
EMC Corp./MA24,637,542$643,286,222
TJX Cos. Inc.8,472,091$642,353,940
MetLife Inc.13,877,035$625,854,279
Target Corp.7,620,569$605,835,236
salesforce.com Inc.7,980,234$604,901,737
Adobe Systems Inc.6,305,941$594,145,761
Express Scripts Holding Co.8,007,507$590,393,491
Kraft Heinz Co.7,524,007$587,399,227
Southern Co.11,551,341$578,722,184
Twenty-First Century Fox Inc. Class A19,106,994$578,177,638
EOG Resources Inc.6,958,307$574,895,324
Caterpillar Inc.7,368,791$572,702,437
Kimberly-Clark Corp.4,566,934$571,734,467
BlackRock Inc.1,597,390$569,197,979
General Motors Co.17,785,344$565,573,939
American Tower Corporation5,364,152$562,592,262
508 Holdings
51-100 of 508 | <Prev  Next>