Vanguard Large-Cap Index Fund
as of:
Stock Holdings

513 Holdings
1-50 of 513 |   Next>

Holding Shares Market Value
salesforce.com Inc.1,046,073$281,330,873
eBay Inc.590,585$30,438,751
Zscaler Inc.101,274$17,514,326
Zoom Video Communications Inc. Class A263,989$16,129,728
Zoetis Inc.468,694$74,634,833
Zimmer Biomet Holdings Inc.237,785$28,600,780
Zillow Group Inc. Class A22,756$955,752
Zillow Group Inc.87,608$3,729,473
Zebra Technologies Corp.58,471$18,392,638
Yum! Brands Inc.320,137$45,219,351
Xylem Inc./NY274,068$35,820,688
Xcel Energy Inc.631,612$33,936,513
Workday Inc. Class A237,693$58,170,608
Willis Towers Watson plc116,610$29,285,435
Williams Cos. Inc.1,383,679$53,077,926
Weyerhaeuser Co.830,152$25,045,686
Westlake Chemical Corp.18,134$2,672,226
Westinghouse Air Brake Technologies Corp.201,439$32,447,794
Western Digital Corp.370,779$26,262,277
West Pharmaceutical Services Inc.83,405$29,815,619
Welltower Inc.647,292$61,673,982
Wells Fargo & Co.4,069,684$241,413,655
Waters Corp.67,280$20,792,211
Waste Management Inc.456,924$95,049,330
Waste Connections Inc.293,023$47,496,098
Warner Music Group Corp. Class A144,214$4,759,062
Warner Bros Discovery Inc.2,497,531$18,381,828
Walt Disney Co.2,086,512$231,811,483
Walmart Inc.5,053,378$299,917,984
Walgreens Boots Alliance Inc.784,369$13,906,862
WW Grainger Inc.50,327$46,368,781
WR Berkley Corp.218,958$16,853,197
WP Carey Inc.248,836$13,646,166
WEC Energy Group Inc.359,041$29,671,148
Vulcan Materials Co.150,429$38,755,023
Vistra Energy Corp.203,209$15,411,371
Visa Inc. Class A1,649,459$443,061,182
Viatris Inc.1,365,131$15,794,566
Vertiv Holdings Co. Class A206,345$19,190,085
Vertex Pharmaceuticals Inc.293,823$115,416,613
Verizon Communications Inc.4,304,138$169,970,410
Verisk Analytics Inc. Class A163,162$35,562,790
VeriSign Inc.97,420$16,510,742
Veralto Corp.266,375$24,954,010
Ventas Inc.458,020$20,281,126
Veeva Systems Inc. Class A164,770$32,716,731
Valero Energy Corp.378,115$60,449,245
VICI Properties Inc.1,177,185$33,608,632
Unity Software Inc.151,349$3,673,240
UnitedHealth Group Inc.1,052,124$508,912,379
513 Holdings
1-50 of 513 |   Next>

© 1995–2024  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  |  Manage cookies
Security  |  Prospectuses