Vanguard 500 Index Fund

as of:
Stock Holdings

509 Holdings
101-150 of 509 | <Prev  Next>

Holding Shares Market Value
Twenty-First Century Fox Inc. Class A19,235,507$555,521,442
Dominion Resources Inc./VA7,620,997$550,617,033
FedEx Corp.3,275,373$540,338,284
Caterpillar Inc.7,440,991$539,546,257
PayPal Holdings Inc.14,223,271$537,497,411
McKesson Corp.2,920,899$534,933,443
Morgan Stanley19,520,675$534,280,875
General Dynamics Corp.3,737,499$530,238,983
Target Corp.7,696,922$529,394,295
Reynolds American Inc.10,578,280$525,740,516
Automatic Data Processing Inc.5,845,483$513,467,227
Aetna Inc.4,467,275$505,829,548
Raytheon Co.3,820,775$495,439,894
Capital One Financial Corp.6,741,977$493,782,395
Northrop Grumman Corp.2,312,176$491,730,470
Phillips 665,998,892$482,070,961
Cognizant Technology Solutions Corp. Class A7,787,050$478,436,352
Public Storage1,882,032$477,490,339
General Mills Inc.7,583,838$476,113,350
Charles Schwab Corp.15,362,454$469,783,843
Halliburton Co.10,958,789$462,241,720
Prudential Financial Inc.5,701,429$451,838,248
Becton Dickinson and Co.2,705,552$450,339,130
Kroger Co.12,461,400$445,619,664
Stryker Corp.4,001,919$444,853,316
Illinois Tool Works Inc.4,181,890$443,405,797
Anthem Inc.3,341,211$441,574,446
Marsh & McLennan Cos. Inc.6,661,174$440,103,766
Alexion Pharmaceuticals Inc.2,877,369$434,194,982
Delta Air Lines Inc.9,945,806$432,244,729
Travelers Cos. Inc.3,766,429$429,900,206
Yum! Brands Inc.5,225,317$428,946,273
Emerson Electric Co.8,215,371$427,363,599
CME Group Inc./IL4,325,742$423,446,884
Kinder Morgan Inc./DE23,370,530$422,539,182
Yahoo! Inc.11,121,989$421,968,263
Cigna Corp.3,270,031$418,923,671
Intercontinental Exchange Inc.1,518,366$411,659,390
American Electric Power Co. Inc.6,271,675$405,965,523
Hewlett Packard Enterprise Co.21,913,631$404,744,765
Exelon Corp.11,749,030$402,639,258
Praxair Inc.3,637,812$399,650,026
Ecolab Inc.3,405,369$399,245,462
Regeneron Pharmaceuticals Inc.998,290$398,247,830
Baxalta Inc.8,708,039$393,864,604
Boston Scientific Corp.17,235,673$391,422,134
Crown Castle International Corp.4,266,568$387,447,040
S&P Global Inc.3,389,017$378,925,991
PG&E Corp.6,301,260$378,579,701
BB&T Corp.10,378,592$377,469,391
509 Holdings
101-150 of 509 | <Prev  Next>