Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
101-150 of 506 | <Prev  Next>

Holding Shares Market Value
Bank of New York Mellon Corp.14,570,540$607,154,402
General Motors Co.18,958,383$605,151,585
General Dynamics Corp.3,887,586$591,768,341
General Mills Inc.8,040,492$569,427,643
Netflix Inc.5,794,817$564,704,917
Raytheon Co.4,017,604$562,986,849
McKesson Corp.3,045,013$562,170,300
Target Corp.7,971,143$559,494,527
FedEx Corp.3,377,461$557,044,643
Aetna Inc.4,743,461$555,554,152
Reynolds American Inc.11,201,337$555,250,275
PayPal Holdings Inc.14,922,446$554,368,869
Automatic Data Processing Inc.6,163,525$553,546,180
Kinder Morgan Inc./DE24,759,437$540,993,698
Illinois Tool Works Inc.4,376,474$520,143,935
Northrop Grumman Corp.2,441,768$517,825,740
Charles Schwab Corp.16,273,281$511,957,420
Becton Dickinson and Co.2,870,508$508,682,723
Yahoo! Inc.11,821,893$505,385,926
Yum! Brands Inc.5,513,624$500,140,833
Halliburton Co.11,627,295$500,089,958
Phillips 666,329,379$496,539,783
CME Group Inc.4,580,435$496,290,132
Capital One Financial Corp.6,928,521$496,082,104
Stryker Corp.4,251,252$491,699,806
Hewlett Packard Enterprise Co.22,487,184$483,024,712
Twenty-First Century Fox Inc. Class A19,663,078$482,531,934
Marsh & McLennan Cos. Inc.7,050,295$476,811,451
Prudential Financial Inc.5,980,682$474,746,537
Praxair Inc.3,858,784$470,925,999
Cognizant Technology Solutions Corp. Class A8,197,894$470,887,031
Travelers Cos. Inc.3,955,073$469,506,716
eBay Inc.14,298,288$459,832,942
Emerson Electric Co.8,704,732$458,565,282
Intercontinental Exchange Inc.1,610,343$454,148,933
Public Storage1,993,444$446,411,849
Cigna Corp.3,469,996$445,061,687
Anthem Inc.3,557,719$444,999,493
S&P Global Inc.3,578,521$442,090,484
Applied Materials Inc.14,738,738$439,803,942
Ecolab Inc.3,571,730$439,501,377
Boston Scientific Corp.18,355,544$437,229,058
Crown Castle International Corp.4,557,566$431,920,530
American Electric Power Co. Inc.6,646,206$429,145,521
BB&T Corp.11,105,197$427,550,085
Exelon Corp.12,473,346$424,093,764
NVIDIA Corp.6,865,327$421,119,158
PG&E Corp.6,713,733$415,848,622
Aflac Inc.5,599,105$415,341,609
Regeneron Pharmaceuticals Inc.1,055,500$414,336,525
506 Holdings
101-150 of 506 | <Prev  Next>