Vanguard 500 Index Fund

as of:
Stock Holdings

507 Holdings
101-150 of 507 | <Prev  Next>

Holding Shares Market Value
salesforce.com inc7,044,344$516,350,415
Capital One Financial Corp.6,313,602$513,295,843
Alexion Pharmaceuticals Inc.2,587,080$510,793,075
Phillips 666,266,332$498,173,394
PayPal Holdings Inc.12,773,281$494,325,975
BlackRock Inc.1,467,238$493,461,484
Dominion Resources Inc./VA6,857,293$491,667,908
General Motors Co.15,599,079$491,526,979
EOG Resources Inc.6,342,610$489,586,066
Kimberly-Clark Corp.4,206,911$483,668,558
Regeneron Pharmaceuticals Inc.871,124$482,306,514
Anthem Inc.3,056,607$471,542,762
Southern Co.10,494,461$469,417,241
Charles Schwab Corp.13,355,669$465,845,735
American Tower Corporation4,888,548$464,949,800
Prudential Financial Inc.5,234,212$462,494,972
Aetna Inc.4,034,838$455,815,649
Adobe Systems Inc.5,491,365$450,237,016
Cognizant Technology Solutions Corp. Class A7,054,181$445,118,821
Kroger Co.11,328,040$444,512,290
Yum! Brands Inc.4,996,139$438,461,159
Anadarko Petroleum Corp.5,869,014$436,361,191
Automatic Data Processing Inc.5,425,131$432,762,700
Cigna Corp.2,973,824$428,409,085
LyondellBasell Industries NV Class A4,539,087$425,902,533
Delta Air Lines Inc.9,489,874$420,781,013
Reynolds American Inc.4,802,871$412,038,303
Halliburton Co.9,831,442$410,855,961
ACE Ltd.3,773,630$410,457,735
Williams Cos. Inc.7,789,059$408,769,816
General Mills Inc.6,887,578$400,925,915
Emerson Electric Co.7,721,964$399,611,637
Travelers Cos. Inc.3,682,465$390,783,186
Northrop Grumman Corp.2,239,093$387,385,480
Valero Energy Corp.5,876,920$385,525,952
Raytheon Co.3,525,766$384,625,813
Praxair Inc.3,331,305$380,235,153
Vertex Pharmaceuticals Inc.2,816,432$380,218,320
Avago Technologies Ltd. Class A3,001,872$375,654,262
Yahoo! Inc.10,084,250$369,789,448
Becton Dickinson and Co.2,419,355$368,104,863
Deere & Co.3,857,795$364,831,673
State Street Corp.4,756,792$364,179,996
Marsh & McLennan Cos. Inc.6,221,132$360,452,388
eBay Inc.12,773,481$359,190,286
Ecolab Inc.3,096,547$358,611,108
CSX Corp.11,415,685$357,082,627
Stryker Corp.3,454,202$353,261,239
CME Group Inc./IL3,666,382$352,119,327
Illinois Tool Works Inc.3,908,679$349,709,510
507 Holdings
101-150 of 507 | <Prev  Next>