Vanguard 500 Index Fund
as of:
Stock Holdings

507 Holdings
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Holding Shares Market Value
Apple Inc.89,932,823$15,088,929,043
Microsoft Corp.136,472,041$12,455,803,182
Amazon.com Inc.7,121,741$10,307,580,619
Facebook Inc. Class A42,465,902$6,785,626,481
JPMorgan Chase & Co.60,827,246$6,689,172,243
Berkshire Hathaway Inc. Class B32,650,762$6,513,174,004
Johnson & Johnson47,552,247$6,093,820,453
Exxon Mobil Corp.75,101,525$5,603,324,780
Alphabet Inc. Class C5,395,577$5,567,102,393
Alphabet Inc. Class A5,289,561$5,486,015,296
Bank of America Corp.169,566,602$5,085,302,394
Intel Corp.82,948,958$4,319,981,733
Wells Fargo & Co.77,808,011$4,077,917,857
AT&T Inc.108,825,992$3,879,646,615
Chevron Corp.33,857,258$3,861,081,702
Visa Inc. Class A31,949,583$3,821,809,118
Pfizer Inc.105,509,437$3,744,529,919
Home Depot Inc.20,697,460$3,689,115,270
UnitedHealth Group Inc.17,151,022$3,670,318,708
Cisco Systems Inc.85,387,099$3,662,252,676
Procter & Gamble Co.44,682,513$3,542,429,631
Verizon Communications Inc.73,161,505$3,498,583,169
Boeing Co.9,804,531$3,214,709,624
Citigroup Inc.45,551,455$3,074,723,213
Coca-Cola Co.68,049,092$2,955,372,066
Mastercard Inc. Class A16,361,872$2,865,945,500
Comcast Corp. Class A82,153,521$2,807,185,813
PepsiCo Inc.25,206,697$2,751,310,978
Philip Morris International Inc.27,528,750$2,736,357,750
Walt Disney Co.26,652,125$2,676,939,435
AbbVie Inc.28,253,964$2,674,237,693
DowDuPont Inc.41,473,846$2,642,298,729
Merck & Co. Inc.47,788,046$2,603,014,866
NVIDIA Corp.10,723,063$2,483,354,160
Oracle Corp.53,560,985$2,450,415,064
International Business Machines Corp.15,184,168$2,329,706,896
3M Co.10,554,635$2,316,953,475
Walmart Inc.25,727,985$2,289,018,825
Netflix Inc.7,691,456$2,271,671,530
McDonald's Corp.14,129,793$2,209,617,029
Altria Group Inc.33,684,875$2,099,241,410
General Electric Co.153,892,479$2,074,470,617
Amgen Inc.11,848,082$2,019,861,019
Medtronic plc24,021,493$1,927,004,168
Honeywell International Inc.13,328,473$1,926,097,633
Adobe Systems Inc.8,712,852$1,882,673,060
Union Pacific Corp.13,952,083$1,875,578,518
Abbott Laboratories30,851,158$1,848,601,387
Bristol-Myers Squibb Co.28,936,241$1,830,217,243
Texas Instruments Inc.17,436,463$1,811,474,141
507 Holdings
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