Vanguard 500 Index Fund

as of:
Stock Holdings

505 Holdings
101-150 of 505 | <Prev  Next>

Holding Shares Market Value
DIRECTV5,718,671$520,627,808
FedEx Corp.2,996,726$519,092,878
NextEra Energy Inc.5,043,650$516,167,141
Anthem Inc.3,034,373$509,319,508
General Dynamics Corp.3,584,138$502,352,782
Salesforce.com inc6,881,664$500,641,056
TJX Cos. Inc.7,764,738$499,893,832
Phillips 666,181,506$489,080,755
Anadarko Petroleum Corp.5,762,370$481,791,756
Aetna Inc.4,000,091$471,890,735
Dominion Resources Inc./VA6,689,158$471,719,422
Emerson Electric Co.7,793,246$470,010,666
Automatic Data Processing Inc.5,404,131$462,107,242
LyondellBasell Industries NV Class A4,504,307$455,385,438
Kimberly-Clark Corp.4,156,723$452,500,866
Southern Co.10,348,512$452,126,489
Cognizant Technology Solutions Corp. Class A6,933,493$448,735,667
American Tower Corporation4,806,088$445,956,906
Yum! Brands Inc.4,926,007$443,882,491
Halliburton Co.9,663,805$438,736,747
Prudential Financial Inc.5,163,615$436,893,465
Avago Technologies Ltd. Class A2,918,309$432,114,014
Regeneron Pharmaceuticals Inc.839,062$430,069,619
Netflix Inc.688,106$429,419,430
Adobe Systems Inc.5,412,390$428,065,925
Yahoo! Inc.9,901,793$425,133,482
Charles Schwab Corp.13,121,994$415,311,110
Cigna Corp.2,939,462$413,964,433
Baxter International Inc.6,171,133$411,059,169
Kroger Co.5,588,056$406,810,477
Praxair Inc.3,284,555$403,540,427
Delta Air Lines Inc.9,374,948$402,372,768
ACE Ltd.3,723,120$396,437,818
Williams Cos. Inc.7,655,523$391,197,225
Johnson Controls Inc.7,475,766$388,889,347
Eaton Corp. plc5,397,892$386,435,088
General Mills Inc.6,866,731$385,566,946
CSX Corp.11,266,261$383,954,175
Archer-Daniels-Midland Co.7,214,086$381,264,445
Alexion Pharmaceuticals Inc.2,299,190$376,699,290
Illinois Tool Works Inc.3,970,401$372,542,726
Travelers Cos. Inc.3,655,127$369,606,442
State Street Corp.4,689,090$365,420,784
Humana Inc.1,701,672$365,263,895
Deere & Co.3,861,305$361,727,052
Raytheon Co.3,495,364$360,931,287
Northrop Grumman Corp.2,256,585$359,203,200
Marsh & McLennan Cos. Inc.6,127,892$356,827,151
PPG Industries Inc.1,547,345$354,171,797
Vertex Pharmaceuticals Inc.2,753,514$353,248,311
505 Holdings
101-150 of 505 | <Prev  Next>