Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
PayPal Holdings Inc.14,024,296$541,337,826
PNC Financial Services Group Inc.6,316,366$534,175,073
Twenty-First Century Fox Inc. Class A19,128,494$533,302,413
FedEx Corp.3,231,185$525,778,423
Reynolds American Inc.10,435,032$524,986,460
Automatic Data Processing Inc.5,766,268$517,291,902
Phillips 665,917,344$512,382,817
Public Storage1,856,480$512,072,878
EOG Resources Inc.6,931,298$503,073,609
Bank of New York Mellon Corp.13,560,685$499,440,029
Aetna Inc.4,406,839$495,108,362
Monsanto Co.5,550,759$487,023,595
General Dynamics Corp.3,686,995$484,360,533
Morgan Stanley19,256,718$481,610,517
Cognizant Technology Solutions Corp. Class A7,678,428$481,437,436
Delta Air Lines Inc.9,813,628$477,727,411
General Mills Inc.7,479,561$473,830,189
Kroger Co.12,286,890$469,973,543
Raytheon Co.3,769,038$462,197,130
Capital One Financial Corp.6,648,042$460,775,791
Anthem Inc.3,294,491$457,901,304
McKesson Corp.2,881,545$453,122,951
Northrop Grumman Corp.2,280,984$451,406,734
Cigna Corp.3,224,102$442,475,758
Emerson Electric Co.8,109,988$441,021,147
Travelers Cos. Inc.3,720,798$434,254,335
Charles Schwab Corp.15,153,775$424,608,776
Stryker Corp.3,951,069$423,910,193
Illinois Tool Works Inc.4,128,687$422,942,696
Yum! Brands Inc.5,154,284$421,878,145
Exelon Corp.11,601,117$416,016,056
Kinder Morgan Inc./DE23,075,740$412,132,716
American Electric Power Co. Inc.6,192,735$411,197,604
Praxair Inc.3,592,119$411,118,020
CME Group Inc./IL4,267,730$409,915,467
Prudential Financial Inc.5,624,427$406,196,118
Becton Dickinson and Co.2,671,261$405,550,845
Yahoo! Inc.10,985,269$404,367,752
Marsh & McLennan Cos. Inc.6,573,292$399,590,421
Alexion Pharmaceuticals Inc.2,841,366$395,574,975
Halliburton Co.10,824,799$386,661,820
Hewlett Packard Enterprise Co.21,648,528$383,828,401
Valero Energy Corp.5,932,303$380,497,914
PPG Industries Inc.3,364,403$375,097,290
Ecolab Inc.3,359,811$374,686,123
LyondellBasell Industries NV Class A4,360,609$373,180,918
PG&E Corp.6,215,478$371,188,346
Crown Castle International Corp.4,209,472$364,119,328
Eaton Corp. plc5,787,585$362,071,318
Southwest Airlines Co.8,047,285$360,518,368
506 Holdings
101-150 of 506 | <Prev  Next>