Vanguard 500 Index Fund

as of:
Stock Holdings

507 Holdings
51-100 of 507 | <Prev  Next>

Holding Shares Market Value
Eli Lilly & Co.12,740,965$1,003,350,994
Celgene Corp.10,160,023$1,002,083,068
United Parcel Service Inc. Class B9,056,294$975,543,990
NIKE Inc. Class B17,464,363$964,032,838
Union Pacific Corp.11,031,503$962,498,637
Walgreens Boots Alliance Inc.11,335,323$943,892,346
Accenture plc Class A8,182,056$926,945,124
Mondelez International Inc. Class A20,358,096$926,496,949
Lowe's Cos. Inc.11,622,700$920,169,159
Costco Wholesale Corp.5,745,982$902,349,013
Simon Property Group Inc.4,058,467$880,281,492
US Bancorp21,286,339$858,478,052
Colgate-Palmolive Co.11,713,687$857,441,888
Lockheed Martin Corp.3,434,384$852,311,077
Texas Instruments Inc.13,172,590$825,262,764
Priceline Group Inc.651,119$812,863,471
Chubb Ltd.6,092,697$796,376,425
Danaher Corp.7,859,325$793,791,825
NextEra Energy Inc.6,052,918$789,300,507
American International Group Inc.14,683,245$776,596,828
Duke Energy Corp.9,036,539$775,244,681
Thermo Fisher Scientific Inc.5,161,873$762,718,354
Time Warner Inc.10,318,631$758,832,124
Abbott Laboratories19,277,389$757,794,162
Occidental Petroleum Corp.10,018,305$756,983,126
Broadcom Ltd.4,867,101$756,347,495
Goldman Sachs Group Inc.5,069,069$753,162,272
EI du Pont de Nemours & Co.11,461,726$742,719,845
Dow Chemical Co.14,728,552$732,156,320
ConocoPhillips16,249,710$708,487,356
EMC Corp./MA25,629,028$696,340,691
Biogen Inc.2,873,492$694,867,835
Kraft Heinz Co.7,815,807$691,542,603
TJX Cos. Inc.8,672,136$669,749,063
salesforce.com Inc.8,354,208$663,407,657
Southern Co.12,311,904$660,287,412
Kimberly-Clark Corp.4,724,261$649,491,402
American Express Co.10,604,498$644,329,298
Ford Motor Co.51,186,346$643,412,369
American Tower Corporation5,569,480$632,748,623
Dominion Resources Inc./VA8,083,673$629,960,637
Express Scripts Holding Co.8,301,253$629,234,977
Adobe Systems Inc.6,561,931$628,567,370
EOG Resources Inc.7,218,857$602,197,051
Monsanto Co.5,730,712$592,612,928
Reynolds American Inc.10,860,375$585,700,024
Caterpillar Inc.7,659,600$580,674,276
MetLife Inc.14,413,382$574,085,005
BlackRock Inc.1,650,255$565,261,845
Aetna Inc.4,599,524$561,739,866
507 Holdings
51-100 of 507 | <Prev  Next>