Dark
Light
System
Institutional Investment Manager
VANGUARD GROUP INC
VANGUARD GROUP INC (CIK: 0000102909) incorporated in Pennsylvania, located at 100 Vanguard Blvd, Malvern, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 4,192 holdings with a total value of $1,479,345,105,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 YAHOO INC 48,589,442 1,909,079,000 0.13%
152 STRYKER CORP 19,865,950 1,898,589,000 0.13%
153 GENERAL MLS INC 33,563,680 1,870,168,000 0.13%
154 NORTHROP GRUMMAN CORP 11,768,404 1,866,823,000 0.13%
155 ILLINOIS TOOL WKS INC 20,245,841 1,858,365,000 0.13%
156 O REILLY AUTOMOTIVE INC NEW 8,170,354 1,846,337,000 0.12%
157 ARCHER DANIELS MIDLAND CO 38,237,398 1,843,807,000 0.12%
158 BECTON DICKINSON & CO 12,788,646 1,811,512,000 0.12%
159 TRAVELERS COMPANIES INC 18,737,481 1,811,165,000 0.12%
160 REYNOLDS AMERICAN INC 24,059,947 1,796,316,000 0.12%
161 DELTA AIRLINES INC DEL 43,634,977 1,792,525,000 0.12%
162 RAYTHEON CO 18,707,360 1,789,921,000 0.12%
163 EATON CORP PLC 25,823,862 1,742,852,000 0.12%
164 JOHNSON CTLS INTL PLC 35,127,553 1,739,868,000 0.12%
165 MARSH & MCLENNAN COS INC 30,668,693 1,738,914,000 0.12%
166 ELECTRONIC ARTS INC 26,120,990 1,737,047,000 0.12%
167 ROSS STORES INC 35,448,988 1,723,176,000 0.12%
168 CERNER CORP 24,873,458 1,717,761,000 0.12%
169 AMERISOURCEBERGEN CORP 16,135,233 1,715,822,000 0.12%
170 CARDINAL HEALTH INC 20,483,667 1,713,457,000 0.12%
171 AIR PRODS & CHEMS INC 12,506,817 1,711,308,000 0.12%
172 VERTEX PHARMACEUTICALS INC 13,845,939 1,709,697,000 0.12%
173 S&P GLOBAL INC 16,785,818 1,686,135,000 0.11%
174 SL GREEN RLTY CORP 15,312,176 1,682,655,000 0.11%
175 MARATHON PETE CORP 32,110,568 1,679,704,000 0.11%
176 STATE STR CORP 21,637,371 1,666,078,000 0.11%
177 SKYWORKS SOLUTIONS INC 15,982,861 1,663,814,000 0.11%
178 MACERICH CO 22,088,017 1,647,765,000 0.11%
179 PERRIGO CO PLC 8,913,272 1,647,440,000 0.11%
180 DELPHI AUTOMOTIVE PLC 19,359,547 1,647,304,000 0.11%
181 FISERV INC 19,882,503 1,646,868,000 0.11%
182 CME GROUP INC 17,687,576 1,646,005,000 0.11%
183 NORFOLK SOUTHERN CORP 18,802,847 1,642,617,000 0.11%
184 MONSTER BEVERAGE CORP NEW 12,166,073 1,630,496,000 0.11%
185 AFLAC INC 26,204,508 1,629,920,000 0.11%
186 BB&T CORP 40,405,654 1,628,752,000 0.11%
187 EXELON CORP 51,626,842 1,622,116,000 0.11%
188 MYLAN N V 23,664,346 1,605,863,000 0.11%
189 BOSTON SCIENTIFIC CORP 89,784,166 1,589,180,000 0.11%
190 HUMANA INC 8,239,787 1,576,107,000 0.11%
191 REALTY INCOME CORP 35,204,145 1,562,712,000 0.11%
192 AMERICAN ELEC PWR INC 29,492,109 1,562,198,000 0.11%
193 INTUIT 15,473,558 1,559,269,000 0.11%
194 AON PLC 15,636,732 1,558,670,000 0.11%
195 BAKER HUGHES INC 25,126,073 1,550,280,000 0.10%
196 CONSTELLATION BRANDS INC 13,314,511 1,544,750,000 0.10%
197 HCA HOLDINGS INC 17,003,723 1,542,578,000 0.10%
198 BROADCOM CORP CL A 29,955,541 1,542,411,000 0.10%
199 DOLLAR GEN CORP NEW 19,792,271 1,538,651,000 0.10%
200 MOODYS CORP 14,129,502 1,525,421,000 0.10%
Page 4 of 84

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-15-008811, filed 2015.08.13).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.