Vanguard Large-Cap Index Fund
as of:
Stock Holdings

513 Holdings
1-50 of 513 |   Next>

Holding Shares Market Value
Berkshire Hathaway Inc. Class A57$34,171,501
NVR Inc.3,441$25,597,083
Lennar Corp. Class B8,449$1,186,155
Liberty Broadband Corp. Class A9,515$476,987
Texas Pacific Land Corp.10,450$6,022,335
Markel Corp.14,195$20,701,988
Liberty Media Corp-Liberty SiriusXM14,347$345,189
Westlake Chemical Corp.18,134$2,672,226
AutoZone Inc.19,665$58,137,606
Pool Corp.20,929$7,587,390
Zillow Group Inc. Class A22,756$955,752
Mettler-Toledo International Inc.24,441$30,055,098
Fair Isaac Corp.26,864$30,445,777
Paycom Software Inc.27,837$5,232,799
Symbotic Inc. Class A27,856$1,074,406
Hubbell Inc. Class B30,507$11,303,454
Chipotle Mexican Grill Inc. Class A31,190$98,547,924
Liberty Media Corp-Liberty SiriusXM CLASS A31,602$760,344
Booking Holdings Inc.38,870$134,180,406
Domino's Pizza Inc.39,699$21,011,490
Insulet Corp.39,732$6,831,520
Jack Henry & Associates Inc.41,406$6,736,342
FactSet Research Systems Inc.43,335$18,065,928
HEICO Corp.46,970$9,741,578
Tyler Technologies Inc.48,031$22,168,708
Everest Re Group Ltd.49,371$18,090,028
WW Grainger Inc.50,327$46,368,781
Monolithic Power Systems Inc.51,871$34,718,816
Globe Life Inc.53,521$4,076,695
Teledyne Technologies Inc.53,616$20,453,432
HubSpot Inc.54,785$33,137,803
Ulta Beauty Inc.55,257$22,370,244
Super Micro Computer Inc.56,031$48,119,423
Zebra Technologies Corp.58,471$18,392,638
Snap-on Inc.59,989$16,074,652
TransDigm Group Inc.60,085$74,987,883
Brown-Forman Corp. Class A62,219$3,053,086
EPAM Systems Inc.65,804$15,481,049
Liberty Broadband Corp.66,142$3,289,242
Molina Healthcare Inc.66,460$22,735,966
O'Reilly Automotive Inc.67,186$68,076,886
Waters Corp.67,280$20,792,211
Martin Marietta Materials Inc.70,315$41,279,827
Essex Property Trust Inc.73,031$17,983,884
Burlington Stores Inc.73,424$13,211,915
United Rentals Inc.76,409$51,040,448
Endeavor Group Holdings Inc. Class A76,956$2,032,408
Leidos Holdings Inc.77,260$10,833,397
Corpay Inc.78,015$23,571,452
MongoDB Inc.78,026$28,493,535
513 Holdings
1-50 of 513 |   Next>

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