Vanguard 500 Index Fund

as of:
Stock Holdings

503 Holdings
51-100 of 503 | <Prev  Next>

Holding Shares Market Value
Honeywell International Inc.9,409,617$974,554,033
United Technologies Corp.10,071,909$967,608,298
American International Group Inc.15,103,195$935,944,994
QUALCOMM Inc.18,351,839$917,316,672
Walgreens Boots Alliance Inc.10,634,833$905,609,204
Goldman Sachs Group Inc.4,843,160$872,882,727
Mondelez International Inc. Class A19,402,729$870,018,368
Costco Wholesale Corp.5,340,398$862,474,277
US Bancorp20,074,999$856,600,207
Lowe's Cos. Inc.11,172,885$849,586,175
Biogen Inc.2,721,506$833,733,363
Abbott Laboratories18,212,965$817,944,258
United Parcel Service Inc. Class B8,499,452$817,902,266
Union Pacific Corp.10,428,287$815,492,043
Accenture plc Class A7,628,432$797,171,144
Priceline Group Inc.607,823$774,943,934
Simon Property Group Inc.3,777,601$734,516,738
Colgate-Palmolive Co.10,950,786$729,541,363
Express Scripts Holding Co.8,256,806$721,727,412
EI du Pont de Nemours & Co.10,700,280$712,638,648
American Express Co.10,214,445$710,414,650
Dow Chemical Co.13,729,543$706,796,874
ConocoPhillips15,074,112$703,810,289
Lockheed Martin Corp.3,226,605$700,657,276
Thermo Fisher Scientific Inc.4,872,624$691,181,714
Texas Instruments Inc.12,385,269$678,836,594
Danaher Corp.7,279,083$676,081,229
Ford Motor Co.47,589,246$670,532,476
MetLife Inc.13,572,143$654,313,014
Time Warner Cable Inc.3,457,584$641,693,015
Time Warner Inc.9,761,049$631,247,039
Occidental Petroleum Corp.9,324,610$630,436,882
EMC Corp./MA23,671,726$607,889,924
Duke Energy Corp.8,403,981$599,960,204
salesforce.com inc7,620,528$597,449,395
Netflix Inc.5,218,020$596,837,128
PNC Financial Services Group Inc.6,199,924$590,914,756
General Motors Co.17,289,809$588,026,404
Morgan Stanley18,439,020$586,545,226
NextEra Energy Inc.5,622,746$584,147,082
TJX Cos. Inc.8,174,389$579,645,924
Adobe Systems Inc.6,089,940$572,088,964
Kimberly-Clark Corp.4,431,875$564,177,688
McKesson Corp.2,809,425$554,102,893
Bank of New York Mellon Corp.13,344,090$550,043,390
Target Corp.7,521,508$546,136,696
Twenty-First Century Fox Inc. Class A19,558,585$531,211,169
Monsanto Co.5,370,022$529,054,567
Kraft Heinz Co.7,259,490$528,200,492
BlackRock Inc.1,541,713$524,984,111
503 Holdings
51-100 of 503 | <Prev  Next>