Vanguard 500 Index Fund

as of:
Stock Holdings

504 Holdings
101-150 of 504 | <Prev  Next>

Holding Shares Market Value
NextEra Energy Inc.5,008,460$505,503,868
FedEx Corp.2,975,838$504,612,850
Capital One Financial Corp.6,229,744$503,674,802
TJX Cos. Inc.7,710,456$497,632,830
Salesforce.com inc6,833,602$497,622,898
Time Warner Cable Inc.3,172,587$493,400,730
General Dynamics Corp.3,559,026$488,725,450
Phillips 666,138,300$486,828,573
Dominion Resources Inc./VA6,642,526$476,136,264
Halliburton Co.9,596,285$469,738,151
LyondellBasell Industries NV Class A4,472,807$463,024,981
Emerson Electric Co.7,738,724$455,269,133
Southern Co.10,276,234$455,237,166
Anthem Inc.3,013,119$454,770,051
Automatic Data Processing Inc.5,366,413$453,676,555
Kimberly-Clark Corp.4,127,653$452,762,258
American Tower Corporation4,772,412$451,136,106
Aetna Inc.3,972,185$424,507,411
Baxter International Inc.6,127,932$421,234,046
Yum! Brands Inc.4,891,715$420,491,821
Yahoo! Inc.9,832,603$418,524,747
Prudential Financial Inc.5,127,525$418,406,040
Delta Air Lines Inc.9,309,450$415,573,848
Adobe Systems Inc.5,374,672$408,797,552
CSX Corp.11,187,504$403,757,019
Cognizant Technology Solutions Corp. Class A6,885,065$403,051,705
Praxair Inc.3,261,605$397,687,498
Charles Schwab Corp.13,030,268$397,423,174
ACE Ltd.3,697,110$395,553,799
American Airlines Group Inc.8,100,919$391,152,874
Williams Cos. Inc.7,602,139$389,153,495
Alexion Pharmaceuticals Inc.2,283,158$386,378,828
Kroger Co.5,549,074$382,386,689
Regeneron Pharmaceuticals Inc.833,208$381,159,332
Netflix Inc.683,280$380,245,320
General Mills Inc.6,818,816$377,353,277
Johnson Controls Inc.7,423,546$373,998,247
Illinois Tool Works Inc.3,942,661$368,954,216
Eaton Corp. plc5,360,174$368,404,759
Travelers Cos. Inc.3,629,649$366,993,810
Cigna Corp.2,918,940$363,816,682
Raytheon Co.3,470,984$360,982,336
State Street Corp.4,656,328$359,096,015
Archer-Daniels-Midland Co.7,163,762$350,164,687
Norfolk Southern Corp.3,471,939$350,145,048
Deere & Co.3,834,297$347,080,564
Northrop Grumman Corp.2,240,819$345,175,759
Micron Technology Inc.12,167,264$342,265,136
Marsh & McLennan Cos. Inc.6,085,057$341,736,801
Ecolab Inc.3,041,854$340,626,811
504 Holdings
101-150 of 504 | <Prev  Next>