Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
51-100 of 508 | <Prev  Next>

Holding Shares Market Value
Texas Instruments Inc.16,667,398$1,621,571,151
Accenture plc Class A10,402,713$1,539,705,551
United Technologies Corp.12,504,047$1,518,616,508
Adobe Systems Inc.8,305,839$1,507,260,603
Goldman Sachs Group Inc.6,056,226$1,499,763,807
US Bancorp26,743,947$1,474,928,677
Schlumberger Ltd.23,390,900$1,470,118,065
PayPal Holdings Inc.19,025,890$1,440,830,650
Priceline Group Inc.825,855$1,436,748,202
United Parcel Service Inc. Class B11,594,415$1,408,141,702
Starbucks Corp.24,304,197$1,405,268,671
Caterpillar Inc.9,948,346$1,404,209,038
Eli Lilly & Co.16,308,387$1,380,341,876
Netflix Inc.7,267,790$1,363,292,048
Costco Wholesale Corp.7,382,732$1,361,597,263
Lockheed Martin Corp.4,217,752$1,345,969,018
NIKE Inc. Class B22,118,340$1,336,390,103
Celgene Corp.13,168,907$1,327,820,893
CVS Health Corp.17,111,847$1,310,767,480
Thermo Fisher Scientific Inc.6,736,845$1,298,594,242
NextEra Energy Inc.7,881,844$1,245,646,626
Morgan Stanley23,803,923$1,228,520,466
American Express Co.12,351,254$1,206,841,028
salesforce.com Inc.11,493,614$1,199,013,812
Time Warner Inc.13,091,576$1,198,010,120
Chubb Ltd.7,834,325$1,191,679,176
Lowe's Cos. Inc.14,209,141$1,184,616,085
Biogen Inc.3,559,292$1,146,697,104
PNC Financial Services Group Inc.8,064,116$1,133,492,145
Charter Communications Inc. Class A3,385,833$1,104,492,583
Mondelez International Inc. Class A25,378,405$1,089,748,711
Colgate-Palmolive Co.14,829,765$1,074,416,474
Walgreens Boots Alliance Inc.14,614,513$1,063,351,966
Duke Energy Corp.11,781,790$1,050,700,032
BlackRock Inc.2,086,404$1,045,684,821
ConocoPhillips20,485,163$1,042,285,093
American Tower Corp.7,224,349$1,039,800,552
Anthem Inc.4,420,843$1,038,721,271
Aetna Inc.5,584,354$1,006,188,904
EOG Resources Inc.9,721,604$994,714,521
Charles Schwab Corp.20,058,665$978,662,265
Allergan plc5,627,736$978,269,349
General Dynamics Corp.4,688,180$971,203,369
Danaher Corp.10,290,397$971,001,861
FedEx Corp.4,153,808$961,440,400
MetLife Inc.17,887,552$960,203,791
Bank of New York Mellon Corp.17,392,415$952,060,797
General Motors Co.22,076,456$951,274,489
Applied Materials Inc.17,953,662$947,414,744
Raytheon Co.4,886,209$933,998,850
508 Holdings
51-100 of 508 | <Prev  Next>