Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
Dominion Resources Inc./VA9,581,848$743,263,949
Occidental Petroleum Corp.11,664,893$739,087,620
PayPal Holdings Inc.17,138,391$737,293,581
General Motors Co.20,791,953$735,203,458
FedEx Corp.3,740,169$729,893,980
Kimberly-Clark Corp.5,426,765$714,325,077
BlackRock Inc.1,856,314$711,914,982
Automatic Data Processing Inc.6,850,611$701,434,060
Prudential Financial Inc.6,559,426$699,759,566
Ford Motor Co.59,571,591$693,413,319
Aetna Inc.5,364,799$684,280,112
Raytheon Co.4,467,693$681,323,183
Anthem Inc.4,032,842$666,951,410
CSX Corp.14,131,945$657,842,040
Halliburton Co.13,224,210$650,763,374
Applied Materials Inc.16,472,245$640,770,331
Kinder Morgan Inc./DE29,286,055$636,678,836
Capital One Financial Corp.7,336,919$635,817,401
Northrop Grumman Corp.2,663,343$633,449,499
Illinois Tool Works Inc.4,761,801$630,795,778
Stryker Corp.4,721,304$621,559,672
Yahoo! Inc.13,390,129$621,435,887
CME Group Inc.5,181,249$615,532,381
Express Scripts Holding Co.9,239,586$608,981,113
Johnson Controls International plc14,318,569$603,098,126
Hewlett Packard Enterprise Co.25,395,398$601,870,933
Becton Dickinson and Co.3,246,582$595,553,002
Emerson Electric Co.9,840,041$589,024,854
Marsh & McLennan Cos. Inc.7,856,433$580,511,834
Cigna Corp.3,921,139$574,407,652
Cognizant Technology Solutions Corp. Class A9,284,131$552,591,477
BB&T Corp.12,342,226$551,697,502
Intercontinental Exchange Inc.9,086,788$544,025,998
Phillips 666,733,246$533,407,748
Anadarko Petroleum Corp.8,526,490$528,642,380
Activision Blizzard Inc.10,551,324$526,089,015
General Mills Inc.8,852,556$522,389,330
Twenty-First Century Fox Inc. Class A16,084,439$520,974,979
Crown Castle International Corp.5,499,902$519,465,744
eBay Inc.15,421,155$517,688,173
Boston Scientific Corp.20,799,554$517,284,908
Praxair Inc.4,351,076$516,037,614
S&P Global Inc.3,941,718$515,340,211
Travelers Cos. Inc.4,268,838$514,565,733
PG&E Corp.7,733,193$513,174,687
Delta Air Lines Inc.11,156,039$512,731,552
Eaton Corp. plc6,859,685$508,645,643
Exelon Corp.14,134,376$508,554,848
Southwest Airlines Co.9,385,799$504,580,554
American Electric Power Co. Inc.7,500,948$503,538,639
511 Holdings
101-150 of 511 | <Prev  Next>