Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
Celgene Corp.9,041,952$977,073,333
ConocoPhillips13,908,281$944,650,446
Goldman Sachs Group Inc.4,575,552$898,729,924
Honeywell International Inc.8,839,527$892,085,065
American International Group Inc.15,500,424$872,518,867
US Bancorp/MN20,116,914$862,412,103
Starbucks Corp.16,936,584$839,715,835
Kinder Morgan Inc./DE19,245,581$826,597,704
Walgreens Boots Alliance Inc.9,848,229$816,713,631
Eli Lilly & Co.11,043,011$793,661,201
Time Warner Inc.9,380,038$791,769,008
Abbott Laboratories17,042,510$791,113,314
United Parcel Service Inc. Class B7,848,955$789,055,446
NIKE Inc. Class B7,903,488$781,180,754
American Express Co.9,899,147$766,688,935
Lowe's Cos. Inc.10,988,114$756,641,530
EI du Pont de Nemours & Co.10,225,829$748,530,683
Priceline Group Inc.586,600$726,099,346
eBay Inc.12,436,382$724,543,615
Mondelez International Inc. Class A18,629,411$714,810,500
Costco Wholesale Corp.4,969,110$710,831,186
Express Scripts Holding Co.8,209,694$709,317,562
Ford Motor Co.44,678,657$705,922,781
Twenty-First Century Fox Inc. Class A20,650,960$703,784,717
Occidental Petroleum Corp.8,702,679$697,084,588
Hewlett-Packard Co.20,527,625$676,795,796
Accenture plc Class A7,094,156$657,273,553
Morgan Stanley17,412,780$649,670,822
Colgate-Palmolive Co.9,629,958$647,903,574
MetLife Inc.12,620,522$647,306,573
Texas Instruments Inc.11,826,533$641,116,354
Simon Property Group Inc.3,510,772$637,170,010
Dow Chemical Co.12,290,587$626,819,937
Monsanto Co.5,458,315$622,029,577
Duke Energy Corp.7,991,225$619,879,323
EOG Resources Inc.6,194,226$612,918,663
EMC Corp./MA22,453,563$604,225,380
Caterpillar Inc.6,846,093$594,788,560
McKesson Corp.2,629,763$587,489,054
Danaher Corp.6,934,924$567,831,577
Target Corp.7,193,922$567,096,871
Lockheed Martin Corp.3,029,667$565,335,862
Thermo Fisher Scientific Inc.4,481,303$563,210,161
Kraft Foods Group Inc.6,640,827$562,810,088
PNC Financial Services Group Inc.5,880,757$539,441,840
Anadarko Petroleum Corp.5,722,224$538,461,278
General Motors Co.15,277,641$535,634,093
Bank of New York Mellon Corp.12,580,387$532,653,586
BlackRock Inc.1,432,782$521,446,681
DIRECTV5,678,691$515,085,667
504 Holdings
51-100 of 504 | <Prev  Next>