Vanguard Large-Cap Index Fund
as of:
Stock Holdings

512 Holdings
1-50 of 512 |   Next>

Holding Shares Market Value
Microsoft Corp.8,451,244$3,555,607,376
Apple Inc.16,685,033$2,861,149,459
NVIDIA Corp.2,701,273$2,440,762,232
Amazon.com Inc.10,632,918$1,917,965,749
Facebook Inc. Class A2,502,301$1,215,067,320
Alphabet Inc. Class A6,702,600$1,011,623,418
Berkshire Hathaway Inc. Class B1,990,242$836,936,566
Alphabet Inc. Class C5,482,512$834,767,277
Eli Lilly & Co.972,634$756,670,347
Broadcom Inc.532,455$705,721,182
JPMorgan Chase & Co.3,276,249$656,232,675
Tesla Inc.3,078,936$541,246,159
Exxon Mobil Corp.4,516,741$525,025,974
UnitedHealth Group Inc.1,051,999$520,423,905
Visa Inc. Class A1,649,245$460,271,295
Mastercard Inc. Class A947,766$456,415,673
Procter & Gamble Co.2,676,463$434,256,122
Home Depot Inc.1,132,026$434,245,174
Johnson & Johnson2,739,727$433,397,414
Merck & Co. Inc.2,882,196$380,305,762
Costco Wholesale Corp.504,701$369,759,094
AbbVie Inc.2,009,171$365,870,039
Advanced Micro Devices Inc.1,837,754$331,696,219
Chevron Corp.2,039,803$321,758,525
salesforce.com Inc.1,045,949$315,018,920
Walmart Inc.5,052,778$304,025,652
Netflix Inc.492,212$298,935,114
Bank of America Corp.7,611,540$288,629,597
PepsiCo Inc.1,563,322$273,596,983
Coca-Cola Co.4,414,940$270,106,029
Adobe Inc.514,093$259,411,328
Linde plc551,561$256,100,804
Walt Disney Co.2,086,264$255,275,263
Thermo Fisher Scientific Inc.433,705$252,073,683
Accenture plc Class A713,130$247,177,989
Wells Fargo & Co.4,069,201$235,850,890
Oracle Corp.1,875,935$235,636,195
McDonald's Corp.821,270$231,557,077
Abbott Laboratories1,973,633$224,323,127
QUALCOMM Inc.1,269,303$214,892,998
Intel Corp.4,808,777$212,403,680
Caterpillar Inc.568,021$208,139,935
Cisco Systems Inc.4,145,213$206,887,581
General Electric Co.1,176,060$206,433,812
International Business Machines Corp.1,038,602$198,331,438
Intuit Inc.302,473$196,607,450
Comcast Corp. Class A4,506,656$195,363,538
Applied Materials Inc.946,373$195,170,504
Danaher Corp.757,209$189,090,231
Verizon Communications Inc.4,303,627$180,580,189
512 Holdings
1-50 of 512 |   Next>

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