Vanguard 500 Index Fund

as of:
Stock Holdings

507 Holdings
101-150 of 507 | <Prev  Next>

Holding Shares Market Value
General Mills Inc.7,798,065$556,157,996
McKesson Corp.2,952,138$551,016,558
Automatic Data Processing Inc.5,976,225$549,035,791
Bank of New York Mellon Corp.14,130,490$548,969,537
Target Corp.7,730,670$539,755,379
PNC Financial Services Group Inc.6,550,748$533,165,380
Raytheon Co.3,896,078$529,671,804
PayPal Holdings Inc.14,469,865$528,294,771
Northrop Grumman Corp.2,367,388$526,223,005
General Dynamics Corp.3,769,321$524,840,256
Twenty-First Century Fox Inc. Class A19,237,183$520,365,800
General Motors Co.18,383,140$520,242,862
Morgan Stanley19,822,175$514,980,107
Netflix Inc.5,619,097$514,034,994
Halliburton Co.11,273,202$510,563,319
FedEx Corp.3,275,102$497,094,982
Public Storage1,933,448$494,169,974
Stryker Corp.4,121,486$493,877,667
Phillips 666,132,239$486,531,842
Becton Dickinson and Co.2,784,110$472,157,215
Marsh & McLennan Cos. Inc.6,838,704$468,177,676
Kroger Co.12,513,446$460,369,678
Travelers Cos. Inc.3,836,337$456,677,556
Cognizant Technology Solutions Corp. Class A7,949,010$455,001,332
Anthem Inc.3,449,998$453,122,737
American Electric Power Co. Inc.6,446,071$451,805,116
Kinder Morgan Inc./DE24,008,677$449,442,433
Crown Castle International Corp.4,420,169$448,337,742
Yum! Brands Inc.5,345,809$443,274,482
Illinois Tool Works Inc.4,243,590$442,012,334
Emerson Electric Co.8,441,096$440,287,567
Exelon Corp.12,094,404$439,752,529
CME Group Inc./IL4,443,133$432,761,154
Cigna Corp.3,365,660$430,770,823
Yahoo! Inc.11,466,468$430,680,538
Capital One Financial Corp.6,719,251$426,739,631
Praxair Inc.3,742,929$420,667,790
Boston Scientific Corp.17,803,236$416,061,625
PG&E Corp.6,508,321$416,011,878
Prudential Financial Inc.5,799,535$413,738,827
Ecolab Inc.3,463,614$410,784,620
Intercontinental Exchange Inc.1,561,999$399,809,264
Charles Schwab Corp.15,781,285$399,424,323
Hewlett Packard Enterprise Co.21,803,681$398,353,252
Aflac Inc.5,432,142$391,983,367
BB&T Corp.10,774,244$383,670,829
Constellation Brands Inc. Class A2,315,546$382,991,308
Aon plc3,477,250$379,820,018
Johnson Controls Inc.8,510,256$376,663,931
Intuit Inc.3,357,502$374,730,798
507 Holdings
101-150 of 507 | <Prev  Next>