Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
51-100 of 506 | <Prev  Next>

Holding Shares Market Value
Abbott Laboratories28,084,103$1,498,567,736
Priceline Group Inc.792,990$1,451,821,952
Texas Instruments Inc.16,004,907$1,434,679,863
United Technologies Corp.12,008,065$1,393,896,185
Goldman Sachs Group Inc.5,816,018$1,379,501,309
US Bancorp25,687,856$1,376,612,203
Accenture plc Class A9,989,798$1,349,322,016
Eli Lilly & Co.15,661,590$1,339,692,409
United Parcel Service Inc. Class B11,134,205$1,337,106,678
CVS Health Corp.16,432,661$1,336,303,993
Time Warner Inc.12,572,285$1,288,030,598
Netflix Inc.6,979,008$1,265,643,101
Lockheed Martin Corp.4,049,961$1,256,662,399
Starbucks Corp.23,339,725$1,253,576,630
QUALCOMM Inc.23,883,366$1,238,113,693
Thermo Fisher Scientific Inc.6,469,004$1,223,935,557
Caterpillar Inc.9,552,938$1,191,346,898
Adobe Systems Inc.7,975,664$1,189,809,556
Charter Communications Inc. Class A3,251,550$1,181,678,301
PayPal Holdings Inc.18,270,058$1,169,831,814
Costco Wholesale Corp.7,089,933$1,164,805,093
Walgreens Boots Alliance Inc.14,876,114$1,148,733,523
NextEra Energy Inc.7,567,803$1,109,061,530
Allergan plc5,403,972$1,107,544,061
NIKE Inc. Class B21,241,758$1,101,385,152
Morgan Stanley22,859,747$1,101,154,013
Lowe's Cos. Inc.13,646,776$1,090,923,273
American Express Co.11,860,618$1,072,911,504
Chubb Ltd.7,524,003$1,072,546,628
Biogen Inc.3,417,826$1,070,189,677
PNC Financial Services Group Inc.7,746,767$1,044,031,789
Colgate-Palmolive Co.14,239,526$1,037,349,469
salesforce.com Inc.11,037,234$1,031,098,400
Mondelez International Inc. Class A24,373,509$991,026,876
ConocoPhillips19,670,127$984,489,856
Duke Energy Corp.11,314,733$949,532,393
American Tower Corp.6,937,858$948,266,431
General Dynamics Corp.4,501,590$925,436,872
EOG Resources Inc.9,333,244$902,898,025
FedEx Corp.3,990,117$900,090,593
Applied Materials Inc.17,240,003$898,031,756
American International Group Inc.14,604,943$896,597,451
BlackRock Inc.2,003,681$895,825,738
MetLife Inc.17,181,766$892,592,744
Bank of New York Mellon Corp.16,700,533$885,462,260
Raytheon Co.4,691,518$875,343,428
General Motors Co.21,200,507$856,076,473
Aetna Inc.5,362,727$852,727,220
Monsanto Co.7,101,129$850,857,277
Danaher Corp.9,881,609$847,644,420
506 Holdings
51-100 of 506 | <Prev  Next>