Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
PNC Financial Services Group Inc.6,341,106$556,622,285
PayPal Holdings Inc.14,079,549$551,636,730
Bank of New York Mellon Corp.13,613,484$547,806,596
Dominion Resources Inc./VA7,547,327$539,407,461
FedEx Corp.3,243,630$535,555,749
Morgan Stanley19,331,937$523,122,215
Monsanto Co.5,569,921$521,790,199
General Dynamics Corp.3,699,729$519,885,919
Reynolds American Inc.10,476,155$519,617,288
Automatic Data Processing Inc.5,788,810$511,962,356
Aetna Inc.4,422,012$496,459,287
Phillips 665,940,489$487,773,552
Netflix Inc.5,417,244$487,714,477
McKesson Corp.2,891,999$485,335,272
Capital One Financial Corp.6,672,142$482,996,359
Raytheon Co.3,782,056$477,862,776
Northrop Grumman Corp.2,289,208$472,172,042
Anthem Inc.3,305,905$465,372,247
General Mills Inc.7,505,052$460,359,890
Public Storage1,863,815$456,280,550
Cognizant Technology Solutions Corp. Class A7,704,577$449,716,159
Halliburton Co.10,862,384$448,725,083
Cigna Corp.3,235,861$448,296,183
Emerson Electric Co.8,138,611$444,612,319
Prudential Financial Inc.5,644,186$438,214,601
Kroger Co.12,329,167$436,329,220
Illinois Tool Works Inc.4,143,163$433,043,397
Becton Dickinson and Co.2,680,579$432,270,170
Stryker Corp.3,964,926$432,216,583
Charles Schwab Corp.15,207,292$432,039,166
Praxair Inc.3,604,662$423,403,599
Marsh & McLennan Cos. Inc.6,588,078$416,037,126
Yum! Brands Inc.5,173,674$411,617,503
Kinder Morgan Inc./DE23,157,619$411,279,313
Delta Air Lines Inc.9,849,258$410,418,581
Travelers Cos. Inc.3,733,304$410,290,110
Exelon Corp.11,645,125$408,627,436
Yahoo! Inc.11,009,926$402,963,292
Alexion Pharmaceuticals Inc.2,849,879$396,931,147
American Electric Power Co. Inc.6,216,090$394,721,715
CME Group Inc./IL4,283,952$393,738,028
Ecolab Inc.3,371,469$387,651,506
Boston Scientific Corp.17,064,025$374,043,428
PPG Industries Inc.3,377,115$372,799,725
Regeneron Pharmaceuticals Inc.986,891$371,771,709
Eaton Corp. plc5,809,610$367,574,025
Crown Castle International Corp.4,225,488$367,110,397
Aflac Inc.5,315,393$366,602,655
BB&T Corp.10,279,139$363,675,938
PG&E Corp.6,239,015$363,110,673
508 Holdings
101-150 of 508 | <Prev  Next>