Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
General Motors Co.15,487,579$516,201,008
FedEx Corp.3,024,178$515,319,931
Aetna Inc.4,005,986$510,602,976
General Dynamics Corp.3,582,680$507,629,929
BlackRock Inc.1,456,752$504,007,057
Phillips 666,221,480$501,202,429
NextEra Energy Inc.5,094,960$499,458,929
Anthem Inc.3,034,739$498,122,059
Salesforce.com inc6,993,968$486,989,992
Cigna Corp.2,952,500$478,305,000
LyondellBasell Industries NV Class A4,506,643$466,527,683
Alexion Pharmaceuticals Inc.2,568,554$464,317,507
Netflix Inc.695,480$456,888,631
Dominion Resources Inc./VA6,808,205$455,264,668
Anadarko Petroleum Corp.5,827,010$454,856,401
Prudential Financial Inc.5,196,761$454,820,523
American Tower Corporation4,853,628$452,794,956
Yum! Brands Inc.4,960,475$446,839,588
Williams Cos. Inc.7,733,359$443,817,473
Kimberly-Clark Corp.4,176,847$442,620,477
Adobe Systems Inc.5,452,009$441,667,249
Regeneron Pharmaceuticals Inc.864,914$441,218,579
Baxter International Inc.6,243,607$436,615,438
Southern Co.10,419,310$436,569,089
Charles Schwab Corp.13,260,269$432,947,783
Automatic Data Processing Inc.5,386,347$432,146,620
Cognizant Technology Solutions Corp. Class A7,003,705$427,856,338
Emerson Electric Co.7,666,608$424,960,081
Halliburton Co.9,761,030$420,407,562
Kroger Co.5,623,526$407,761,870
Praxair Inc.3,307,505$395,412,223
Yahoo! Inc.10,012,057$393,373,720
Avago Technologies Ltd. Class A2,943,568$391,288,494
Delta Air Lines Inc.9,421,938$387,053,213
General Mills Inc.6,838,238$381,026,621
ACE Ltd.3,746,610$380,955,305
Johnson Controls Inc.7,512,132$372,075,898
Deere & Co.3,830,131$371,714,214
CSX Corp.11,333,853$370,050,300
Valero Energy Corp.5,834,816$365,259,482
State Street Corp.4,722,788$363,654,676
Eaton Corp. plc5,358,502$361,645,300
PPG Industries Inc.3,118,585$357,764,071
Illinois Tool Works Inc.3,880,643$356,204,221
Reynolds American Inc.4,768,495$356,015,837
Travelers Cos. Inc.3,656,089$353,397,563
Northrop Grumman Corp.2,223,093$352,649,243
Marsh & McLennan Cos. Inc.6,176,552$350,210,498
Ecolab Inc.3,074,248$347,605,221
Vertex Pharmaceuticals Inc.2,796,296$345,286,630
506 Holdings
101-150 of 506 | <Prev  Next>