Titelia

Holdings of VANGUARD 500 INDEX FUND

VANGUARD INDEX FUNDS · Original filing · Compare with another fund · Report an error

Net assets
1.4T $ including 1.4T $ in equities, 99.8 %
Positions
503 in 4 countries
Top ten
36.5 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1NVIDIA Corp 617,520,783107.7B $7.58 %
2Apple Inc 373,078,14694.7B $6.66 %
3Microsoft Corp 188,702,05569.9B $4.91 %
4Amazon.com Inc 248,252,81851.7B $3.64 %
5Alphabet Inc 147,947,85642.5B $2.99 %
6Broadcom Inc 120,487,25237.3B $2.62 %
7Alphabet Inc 118,843,43534.1B $2.40 %
8Meta Platforms Inc 55,584,56631.8B $2.24 %
9Tesla Inc 71,471,32626.6B $1.87 %
10Berkshire Hathaway Inc 46,598,54322.3B $1.57 %
11JPMorgan Chase & Co 64,607,60619B $1.34 %
12Eli Lilly & Co 20,136,05318.5B $1.30 %
13Exxon Mobil Corp 106,188,02618B $1.27 %
14Johnson & Johnson 61,239,75215B $1.05 %
15Walmart Inc 111,395,08713.8B $0.97 %
16Visa Inc 41,868,06712.7B $0.89 %
17Costco Wholesale Corp 11,280,00211.2B $0.79 %
18Mastercard Inc 20,695,52610.3B $0.73 %
19Netflix Inc 107,289,27810.3B $0.73 %
20Chevron Corp 47,630,5589.9B $0.69 %
21AbbVie Inc 44,913,0669.8B $0.69 %
22Micron Technology Inc 28,602,5529.7B $0.68 %
23Procter & Gamble Co/The 59,054,3748.5B $0.60 %
24Palantir Technologies Inc 58,048,9778.5B $0.60 %
25Advanced Micro Devices Inc 41,432,9638.4B $0.59 %
26Caterpillar Inc 11,822,7708.4B $0.59 %
27Home Depot Inc/The 25,297,6158.3B $0.59 %
28Bank of America Corp 162,389,0247.9B $0.56 %
29Cisco Systems, Inc. 100,407,4857.8B $0.55 %
30Merck & Co Inc 63,072,8787.6B $0.53 %
31General Electric Co 26,651,4547.6B $0.53 %
32Coca-Cola Co/The 98,380,6327.5B $0.53 %
33Applied Materials Inc 20,169,3146.9B $0.49 %
34Lam Research Corp 31,731,7406.8B $0.48 %
35RTX Corp 34,111,0556.6B $0.46 %
36Philip Morris International Inc. 39,557,8536.5B $0.46 %
37Oracle Corp 43,094,4326.3B $0.45 %
38Wells Fargo & Co 78,577,4486.3B $0.44 %
39UnitedHealth Group Inc 23,019,4886.2B $0.44 %
40Goldman Sachs Group Inc/The 7,228,7406.1B $0.43 %
41GE Vernova Inc 6,849,4216B $0.42 %
42Linde PLC 11,866,2515.9B $0.41 %
43International Business Machines Corp. 23,753,1465.8B $0.41 %
44McDonald's Corp. 18,097,6625.6B $0.40 %
45PepsiCo Inc 34,728,2975.4B $0.38 %
46Verizon Communications Inc 107,163,3605.4B $0.38 %
47Intel Corp 119,364,8605.3B $0.37 %
48AT&T Inc 177,878,3495.2B $0.36 %
49Morgan Stanley 30,570,7535B $0.35 %
50NextEra Energy Inc 52,922,4714.9B $0.35 %
51KLA Corp 3,331,4464.9B $0.35 %
52Citigroup Inc 42,854,5014.9B $0.34 %
53Amgen Inc 13,684,5544.8B $0.34 %
54Thermo Fisher Scientific Inc 9,547,1604.7B $0.33 %
55Abbott Laboratories 44,188,1474.5B $0.32 %
56TJX Cos Inc/The 28,218,5094.5B $0.32 %
57Texas Instruments Inc 23,062,1324.5B $0.32 %
58Salesforce Inc 23,808,2544.4B $0.31 %
59Gilead Sciences Inc 31,528,1974.4B $0.31 %
60Walt Disney Co/The 45,015,2814.3B $0.31 %
61Intuitive Surgical Inc 9,025,4964.2B $0.29 %
62American Express Co 13,608,8664.1B $0.29 %
63ConocoPhillips 31,131,0384.1B $0.29 %
64Pfizer Inc 144,484,4404.1B $0.29 %
65Charles Schwab Corp/The 42,446,4284B $0.28 %
66Boeing Co/The 19,957,4824B $0.28 %
67Analog Devices Inc 12,416,7144B $0.28 %
68Amphenol Corp 31,237,4823.9B $0.28 %
69Uber Technologies Inc 52,296,3803.8B $0.26 %
70Union Pacific Corp 15,080,0043.7B $0.26 %
71Honeywell International Inc 16,134,0573.6B $0.26 %
72Deere & Co 6,405,4263.6B $0.25 %
73Eaton Corp PLC 9,870,7753.5B $0.25 %
74Blackrock Inc 3,665,9753.5B $0.25 %
75Welltower Inc 17,734,6863.5B $0.25 %
76QUALCOMM Inc 27,113,9593.5B $0.25 %
77Booking Holdings Inc 818,8013.4B $0.24 %
78Lowe's Cos Inc 14,254,2563.4B $0.24 %
79S&P Global Inc 7,775,6123.3B $0.23 %
80Palo Alto Networks Inc 20,536,9453.3B $0.23 %
81Arista Networks Inc 26,240,3763.2B $0.23 %
82Bristol-Myers Squibb Co 51,751,7573.1B $0.22 %
83Prologis Inc 23,622,6663.1B $0.22 %
84Lockheed Martin Corp 5,145,3173.1B $0.22 %
85Accenture PLC 15,634,9633.1B $0.22 %
86Intuit Inc 7,070,5193.1B $0.22 %
87Danaher Corp 15,987,4423B $0.21 %
88Chubb Ltd 9,241,8403B $0.21 %
89Newmont Corp 27,731,0113B $0.21 %
90Progressive Corp/The 14,893,9943B $0.21 %
91Capital One Financial Corp 15,881,7822.9B $0.20 %
92Vertex Pharmaceuticals Inc 6,455,1612.9B $0.20 %
93Stryker Corp 8,753,1832.9B $0.20 %
94Parker-Hannifin Corp 3,207,0962.9B $0.20 %
95Medtronic PLC 32,578,1262.8B $0.20 %
96Altria Group, Inc. 42,659,2132.8B $0.20 %
97ServiceNow Inc 26,581,8652.8B $0.20 %
98AppLovin Corp 6,885,8452.7B $0.19 %
99CME Group Inc 9,162,8442.7B $0.19 %
100Southern Co/The 27,982,1412.7B $0.19 %

Download this table: CSV, JSON

Sector breakdown

  • Technology 32.6 %
  • Financials 12.1 %
  • Communication 10.2 %
  • Consumer discretionary 9.7 %
  • Health care 9.2 %
  • Industrials 8.5 %
  • Consumer staples 5.0 %
  • Energy 3.2 %
  • Utilities 2.5 %
  • Materials 2.0 %
  • Real estate 1.5 %
  • Unattributed 3.4 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • United States 99.6 %
  • Ireland 0.2 %
  • Netherlands 0.1 %
  • Bermuda 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States4981.4T $99.62 %
2Ireland22.7B $0.19 %
3Netherlands21.8B $0.13 %
4Bermuda1871.9M $0.06 %
Cite this page

Titelia. "Holdings of VANGUARD 500 INDEX FUND". https://titelia.com/en/funds/S000002839