Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
101-150 of 508 | <Prev  Next>

Holding Shares Market Value
Ford Motor Co.58,030,913$717,262,085
Dominion Resources Inc./VA9,294,005$708,946,701
Monsanto Co.6,495,341$703,510,384
Bank of New York Mellon Corp.15,679,830$701,358,796
FedEx Corp.3,625,901$685,694,138
Automatic Data Processing Inc.6,691,114$675,735,603
BlackRock Inc.1,802,649$674,154,673
Prudential Financial Inc.6,376,525$670,236,543
PayPal Holdings Inc.16,641,954$662,016,930
American Tower Corporation6,312,807$653,375,525
CSX Corp.13,890,560$644,383,078
Kimberly-Clark Corp.5,311,562$643,389,505
Kinder Morgan Inc./DE28,471,897$636,062,179
Express Scripts Holding Co.9,143,861$629,829,146
Raytheon Co.4,354,015$627,674,802
Capital One Financial Corp.7,151,704$624,987,413
Aetna Inc.5,203,523$617,189,863
Johnson Controls International plc13,891,559$610,950,765
CME Group Inc.5,032,747$609,365,007
Anthem Inc.3,906,426$602,136,504
Northrop Grumman Corp.2,613,407$598,679,276
Illinois Tool Works Inc.4,683,570$595,750,104
Anadarko Petroleum Corp.8,288,992$576,333,614
Yahoo! Inc.13,017,244$573,669,943
Stryker Corp.4,608,310$569,264,534
Hewlett Packard Enterprise Co.24,706,294$560,338,748
Emerson Electric Co.9,531,316$559,106,997
Becton Dickinson and Co.3,147,916$558,094,028
Cigna Corp.3,807,336$556,708,670
BB&T Corp.12,032,236$555,768,981
Applied Materials Inc.16,028,664$548,981,742
General Mills Inc.8,769,997$547,949,413
Target Corp.8,330,107$537,125,299
Phillips 666,566,197$535,932,999
Marsh & McLennan Cos. Inc.7,646,514$520,115,882
Delta Air Lines Inc.10,919,979$515,859,808
Intercontinental Exchange Inc.8,834,422$515,576,868
Norfolk Southern Corp.4,329,646$508,560,219
Praxair Inc.4,232,401$501,285,574
Travelers Cos. Inc.4,212,774$496,180,522
Twenty-First Century Fox Inc. Class A15,692,558$492,432,470
Exelon Corp.13,689,704$491,186,580
eBay Inc.15,418,270$490,763,534
Boston Scientific Corp.20,189,538$485,760,284
Southwest Airlines Co.9,128,829$477,529,045
Public Storage2,212,155$475,613,325
Kroger Co.14,000,312$475,450,596
Eaton Corp. plc6,698,080$474,090,102
Cognizant Technology Solutions Corp. Class A8,996,043$473,101,901
Crown Castle International Corp.5,346,648$469,596,094
508 Holdings
101-150 of 508 | <Prev  Next>