Vanguard 500 Index Fund

as of:
Stock Holdings

504 Holdings
51-100 of 504 | <Prev  Next>

Holding Shares Market Value
Honeywell International Inc.8,719,138$896,153,004
ConocoPhillips13,710,214$893,905,953
US Bancorp/MN19,930,537$889,101,256
American International Group Inc.15,592,521$862,734,187
Actavis plc2,952,309$860,184,750
Goldman Sachs Group Inc.4,511,637$856,263,586
American Express Co.9,911,039$808,641,672
Walgreens Boots Alliance Inc.9,711,011$806,790,794
Lowe's Cos. Inc.10,836,475$802,874,433
Abbott Laboratories16,771,806$794,480,450
United Parcel Service Inc. Class B7,763,656$789,796,725
EI du Pont de Nemours & Co.10,090,644$785,556,635
Starbucks Corp.8,334,793$779,178,124
Kinder Morgan Inc./DE18,925,224$776,123,436
Allergan Inc./United States3,318,065$772,246,448
Eli Lilly & Co.10,913,469$765,798,120
Time Warner Inc.9,339,244$764,510,514
NIKE Inc. Class B7,772,539$754,868,988
eBay Inc.12,592,382$729,224,842
Hewlett-Packard Co.20,786,997$724,218,975
Twenty-First Century Fox Inc. Class A20,653,239$722,863,365
Priceline Group Inc.583,155$721,642,649
Costco Wholesale Corp.4,875,917$716,564,762
Ford Motor Co.42,867,439$700,453,953
Express Scripts Holding Co.8,174,481$693,114,244
Texas Instruments Inc.11,765,312$691,800,346
Mondelez International Inc. Class A18,711,337$691,103,232
Colgate-Palmolive Co.9,542,289$675,784,907
Occidental Petroleum Corp.8,636,933$672,644,342
Simon Property Group Inc.3,461,644$658,958,552
EMC Corp./MA22,665,223$655,931,554
Monsanto Co.5,391,723$649,325,201
MetLife Inc.12,653,502$643,177,507
Accenture plc Class A6,989,289$629,245,689
Duke Energy Corp.7,877,959$618,813,679
Morgan Stanley17,005,516$608,627,418
Dow Chemical Co.12,339,425$607,593,287
Lockheed Martin Corp.2,991,014$598,352,351
Danaher Corp.6,809,296$594,315,355
McKesson Corp.2,582,753$590,675,611
Thermo Fisher Scientific Inc.4,455,628$579,231,640
General Motors Co.15,032,459$560,861,045
Caterpillar Inc.6,743,116$559,004,316
EOG Resources Inc.6,103,883$547,640,383
Target Corp.7,094,710$545,086,569
PNC Financial Services Group Inc.5,861,069$538,983,905
BlackRock Inc.1,418,833$526,982,953
TJX Cos. Inc.7,673,111$526,682,339
FedEx Corp.2,934,017$519,262,329
NextEra Energy Inc.4,861,682$502,989,620
504 Holdings
51-100 of 504 | <Prev  Next>