Vanguard Large-Cap Index Fund
as of:
Stock Holdings

513 Holdings
1-50 of 513 |   Next>

Holding Shares Market Value
Apple Inc.16,687,006$2,842,297,732
Amazon.com Inc.10,634,183$1,860,982,025
Microsoft Corp.8,452,242$3,290,711,378
AT&T Inc.8,133,114$137,368,295
Bank of America Corp.7,612,447$281,736,663
Alphabet Inc. Class A6,703,396$1,091,178,801
Pfizer Inc.6,422,895$164,554,570
Alphabet Inc. Class C5,483,163$902,747,956
Walmart Inc.5,053,378$299,917,984
Intel Corp.4,809,348$146,540,834
Exxon Mobil Corp.4,517,277$534,258,351
Comcast Corp. Class A4,507,191$171,769,049
Ford Motor Co.4,438,281$53,925,114
Coca-Cola Co.4,415,464$272,743,211
Verizon Communications Inc.4,304,138$169,970,410
Cisco Systems Inc.4,145,705$194,765,221
Wells Fargo & Co.4,069,684$241,413,655
JPMorgan Chase & Co.3,276,638$628,262,570
Tesla Inc.3,079,305$564,375,020
PG&E Corp.2,971,219$50,837,557
Merck & Co. Inc.2,882,538$372,481,560
Johnson & Johnson2,740,052$396,184,119
NVIDIA Corp.2,701,594$2,334,231,248
Procter & Gamble Co.2,676,781$436,850,659
Facebook Inc. Class A2,502,598$1,076,542,582
Warner Bros Discovery Inc.2,497,531$18,381,828
NextEra Energy Inc.2,301,970$154,162,931
Bristol-Myers Squibb Co.2,300,088$101,065,867
Palantir Technologies Inc. Class A2,280,471$50,101,948
Uber Technologies Inc.2,244,026$148,711,603
CSX Corp.2,228,178$74,020,073
Kinder Morgan Inc./DE2,145,773$39,224,730
Walt Disney Co.2,086,512$231,811,483
Citigroup Inc.2,056,565$126,129,131
Chevron Corp.2,040,045$328,998,057
AbbVie Inc.2,009,410$326,810,442
Altria Group Inc.2,005,763$87,872,477
Berkshire Hathaway Inc. Class B1,990,489$789,686,701
Abbott Laboratories1,973,867$209,170,686
Kenvue Inc.1,960,896$36,904,063
Oracle Corp.1,876,158$213,412,973
Advanced Micro Devices Inc.1,837,972$291,098,005
US Bancorp1,772,152$72,002,536
Philip Morris International Inc.1,765,982$167,662,331
Boston Scientific Corp.1,668,853$119,940,465
Visa Inc. Class A1,649,459$443,061,182
Huntington Bancshares Inc./OH1,646,120$22,173,236
Freeport-McMoRan Inc.1,631,385$81,471,367
Schlumberger Ltd.1,629,641$77,375,355
Charles Schwab Corp.1,612,300$119,229,585
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