Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
McKesson Corp.3,002,919$584,247,921
Morgan Stanley20,164,336$579,321,373
General Mills Inc.7,932,553$570,271,235
Bank of New York Mellon Corp.14,374,562$566,357,743
General Dynamics Corp.3,834,448$563,242,067
Reynolds American Inc.11,047,942$553,059,977
Raytheon Co.3,963,572$553,037,201
PNC Financial Services Group Inc.6,663,979$550,777,864
PayPal Holdings Inc.14,719,827$548,166,357
Automatic Data Processing Inc.6,079,232$540,747,686
FedEx Corp.3,331,658$539,395,430
Aetna Inc.4,679,058$539,074,272
Northrop Grumman Corp.2,408,335$521,717,611
Netflix Inc.5,715,831$521,569,579
Twenty-First Century Fox Inc. Class A19,453,791$518,248,992
Halliburton Co.11,467,870$500,687,204
Becton Dickinson and Co.2,832,130$498,454,880
Illinois Tool Works Inc.4,316,873$498,167,144
Kinder Morgan Inc./DE24,423,341$496,526,523
Stryker Corp.4,192,627$487,518,668
Yum! Brands Inc.5,438,152$486,279,552
Emerson Electric Co.8,586,888$480,007,039
Phillips 666,239,327$474,563,212
Public Storage1,966,854$469,920,758
Hewlett Packard Enterprise Co.22,180,072$466,225,113
Cognizant Technology Solutions Corp. Class A8,086,449$464,889,953
CME Group Inc.4,519,934$462,118,052
Anthem Inc.3,509,705$460,964,655
Exelon Corp.12,303,373$458,669,745
Capital One Financial Corp.6,835,215$458,506,222
Marsh & McLennan Cos. Inc.6,956,779$457,408,219
Charles Schwab Corp.16,054,130$456,258,375
American Electric Power Co. Inc.6,557,468$454,432,532
Travelers Cos. Inc.3,902,449$453,542,623
Yahoo! Inc.11,664,390$445,463,054
Prudential Financial Inc.5,899,766$444,193,382
Praxair Inc.3,807,446$443,719,757
Regeneron Pharmaceuticals Inc.1,041,858$442,914,673
Cigna Corp.3,423,778$441,530,411
eBay Inc.14,118,139$439,921,211
Boston Scientific Corp.18,110,697$439,727,723
Crown Castle International Corp.4,496,492$436,294,619
Kroger Co.12,729,695$435,228,272
S&P Global Inc.3,534,329$431,895,004
PG&E Corp.6,620,726$423,329,220
Intercontinental Exchange Inc.1,588,887$419,783,945
Ecolab Inc.3,523,468$417,108,142
BB&T Corp.10,964,623$404,265,650
Aflac Inc.5,525,776$399,403,089
Delta Air Lines Inc.10,306,512$399,377,340
505 Holdings
101-150 of 505 | <Prev  Next>