Vanguard 500 Index Fund

as of:
Stock Holdings

511 Holdings
101-150 of 511 | <Prev  Next>

Holding Shares Market Value
Raytheon Co.4,634,610$796,086,960
Danaher Corp.9,724,757$792,470,448
Simon Property Group Inc.4,968,701$787,539,109
General Motors Co.21,864,893$786,698,850
Anthem Inc.4,218,961$785,612,728
Prudential Financial Inc.6,830,466$773,413,665
Dominion Energy Inc.10,011,622$772,696,986
Southern Co.15,832,070$758,831,115
Applied Materials Inc.17,107,270$758,023,134
Occidental Petroleum Corp.12,173,725$753,918,789
Northrop Grumman Corp.2,779,167$731,282,213
Becton Dickinson and Co.3,619,809$729,029,533
Stryker Corp.4,939,069$726,537,050
CSX Corp.14,690,629$724,835,635
TJX Cos. Inc.10,244,901$720,318,989
Cigna Corp.4,075,305$707,309,936
Ford Motor Co.62,259,561$698,552,274
Illinois Tool Works Inc.4,948,761$696,340,160
Kimberly-Clark Corp.5,650,432$695,907,205
Activision Blizzard Inc.11,038,596$681,964,461
CME Group Inc.5,408,683$663,212,709
Capital One Financial Corp.7,686,547$662,426,620
Cognizant Technology Solutions Corp. Class A9,377,149$650,023,969
Crown Castle International Corp.6,410,115$644,729,367
Marsh & McLennan Cos. Inc.8,205,274$639,765,214
S&P Global Inc.4,103,814$630,304,792
Intercontinental Exchange Inc.9,425,452$628,771,903
Kinder Morgan Inc./DE30,558,696$624,314,159
Emerson Electric Co.10,257,146$611,428,473
BB&T Corp.12,914,957$611,135,765
Vertex Pharmaceuticals Inc.3,965,936$602,108,404
Deere & Co.4,685,769$601,090,447
Regeneron Pharmaceuticals Inc.1,213,086$596,377,339
Praxair Inc.4,551,750$592,455,780
Express Scripts Holding Co.9,450,204$591,960,779
Halliburton Co.13,813,939$586,263,571
Phillips 666,982,204$584,759,585
Johnson Controls International plc14,930,791$581,554,309
Boston Scientific Corp.21,804,551$580,437,148
Delta Air Lines Inc.11,717,456$578,373,628
Aon plc4,172,608$576,529,247
Electronic Arts Inc.4,936,639$576,303,237
eBay Inc.16,027,246$572,653,500
Travelers Cos. Inc.4,448,383$569,793,378
Exelon Corp.14,744,450$565,302,213
Equinix Inc.1,240,357$559,066,111
Eaton Corp. plc7,121,690$557,272,243
American Electric Power Co. Inc.7,827,096$552,123,352
Intuitive Surgical Inc.586,546$550,332,650
PG&E Corp.8,130,107$550,326,943
511 Holdings
101-150 of 511 | <Prev  Next>