Vanguard Large-Cap Index Fund
as of:
Stock Holdings

513 Holdings
1-50 of 513 |   Next>

Holding Shares Market Value
Microsoft Corp.8,452,242$3,290,711,378
Apple Inc.16,687,006$2,842,297,732
NVIDIA Corp.2,701,594$2,334,231,248
Amazon.com Inc.10,634,183$1,860,982,025
Alphabet Inc. Class A6,703,396$1,091,178,801
Facebook Inc. Class A2,502,598$1,076,542,582
Alphabet Inc. Class C5,483,163$902,747,956
Berkshire Hathaway Inc. Class B1,990,489$789,686,701
Eli Lilly & Co.972,743$759,809,557
Broadcom Inc.532,518$692,417,180
JPMorgan Chase & Co.3,276,638$628,262,570
Tesla Inc.3,079,305$564,375,020
Exxon Mobil Corp.4,517,277$534,258,351
UnitedHealth Group Inc.1,052,124$508,912,379
Visa Inc. Class A1,649,459$443,061,182
Procter & Gamble Co.2,676,781$436,850,659
Mastercard Inc. Class A947,882$427,684,358
Johnson & Johnson2,740,052$396,184,119
Home Depot Inc.1,132,160$378,390,515
Merck & Co. Inc.2,882,538$372,481,560
Costco Wholesale Corp.504,761$364,891,727
Chevron Corp.2,040,045$328,998,057
AbbVie Inc.2,009,410$326,810,442
Walmart Inc.5,053,378$299,917,984
Advanced Micro Devices Inc.1,837,972$291,098,005
Bank of America Corp.7,612,447$281,736,663
salesforce.com Inc.1,046,073$281,330,873
PepsiCo Inc.1,563,508$275,036,692
Coca-Cola Co.4,415,464$272,743,211
Netflix Inc.492,270$271,063,553
Thermo Fisher Scientific Inc.433,758$246,686,850
Linde plc551,617$243,241,032
Wells Fargo & Co.4,069,684$241,413,655
Adobe Inc.514,154$237,965,896
Walt Disney Co.2,086,512$231,811,483
McDonald's Corp.821,371$224,267,138
Accenture plc Class A713,215$214,613,526
Oracle Corp.1,876,158$213,412,973
QUALCOMM Inc.1,269,454$210,538,946
Abbott Laboratories1,973,867$209,170,686
Cisco Systems Inc.4,145,705$194,765,221
General Electric Co.1,181,404$191,174,795
Caterpillar Inc.568,088$190,065,202
Intuit Inc.302,509$189,255,681
Applied Materials Inc.946,485$188,019,245
Danaher Corp.757,299$186,765,079
Texas Instruments Inc.1,034,289$182,469,265
International Business Machines Corp.1,038,725$172,636,095
Comcast Corp. Class A4,507,191$171,769,049
Verizon Communications Inc.4,304,138$169,970,410
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