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VANGUARD INSTITUTIONAL INDEX FUND (VIIIX) is an MF managed by Vanguard. Its largest position is NVIDIA CORP (NVDA), representing 7.57% of fund assets.

VANGUARD INSTITUTIONAL INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VIIIX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 517 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
7.57% $23,894,977,035.20 137,012,483
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Apple Inc.
6.66% $21,008,168,471.77 82,777,763
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MICROSOFT CORP
4.91% $15,498,459,683.64 41,868,492
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AMAZON COM INC
3.64% $11,471,519,097.72 55,080,036
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Alphabet Inc.
2.99% $9,439,541,180.16 32,826,336
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Broadcom Inc.
2.62% $8,274,156,209.82 26,733,082
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Alphabet Inc.
2.40% $7,564,248,344.94 26,369,129
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Meta Platforms, Inc.
2.24% $7,055,581,536.90 12,332,130
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Tesla, Inc.
1.87% $5,895,054,621.50 15,857,578
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BERKSHIRE HATHAWAY INC
1.57% $4,954,579,142.40 10,339,272
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JPMORGAN CHASE & CO
1.34% $4,216,775,657.68 14,334,973
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ELI LILLY & Co
1.30% $4,109,502,927.36 4,467,968
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ExxonMobil Holdings Corp
1.27% $3,997,649,717.92 23,562,712
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JOHNSON & JOHNSON
1.05% $3,321,434,831.40 13,587,935
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Walmart Inc.
0.97% $3,071,752,824.92 24,716,389
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VISA INC.
0.88% $2,774,151,246.88 9,178,637
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COSTCO WHOLESALE CORP /NEW
0.79% $2,493,768,350.29 2,502,703
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Mastercard Inc
0.73% $2,294,388,754.00 4,591,900
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NETFLIX INC
0.73% $2,288,954,592.00 23,806,080
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CHEVRON CORP
0.69% $2,186,760,031.60 10,569,164
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AbbVie Inc.
0.69% $2,167,349,617.16 9,965,284
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MICRON TECHNOLOGY INC
0.68% $2,143,947,167.12 6,346,043
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PROCTER & GAMBLE Co
0.60% $1,892,634,874.40 13,103,260
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Palantir Technologies Inc.
0.60% $1,884,078,354.60 12,879,945
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ADVANCED MICRO DEVICES INC
0.59% $1,870,106,357.82 9,192,874
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CATERPILLAR INC
0.59% $1,858,633,474.64 2,623,484
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HOME DEPOT, INC.
0.59% $1,846,059,898.89 5,613,001
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BANK OF AMERICA CORP /DE/
0.56% $1,756,651,357.50 36,033,874
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CISCO SYSTEMS, INC.
0.55% $1,728,541,097.15 22,277,885
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Merck & Co., Inc.
0.53% $1,683,418,252.85 13,994,665
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GENERAL ELECTRIC CO
0.53% $1,678,107,663.63 5,913,619
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COCA COLA CO
0.53% $1,660,017,042.45 21,827,969
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APPLIED MATERIALS INC /DE
0.48% $1,529,617,913.85 4,475,315
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LAM RESEARCH CORP
0.48% $1,504,393,734.24 7,041,064
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RTX Corp
0.46% $1,459,933,750.50 7,568,345
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Philip Morris International Inc.
0.46% $1,451,223,405.38 8,777,207
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ORACLE CORP
0.45% $1,406,534,597.88 9,561,108
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WELLS FARGO & COMPANY/MN
0.44% $1,388,183,293.78 17,437,298
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UNITEDHEALTH GROUP INC
0.44% $1,382,020,295.47 5,107,433
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GOLDMAN SACHS GROUP INC
0.43% $1,357,150,693.84 1,604,216
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GE Vernova Inc.
0.42% $1,326,553,986.10 1,519,709
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LINDE PLC
0.41% $1,305,271,135.44 2,632,869
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INTERNATIONAL BUSINESS MACHINES CORP
0.40% $1,277,532,735.13 5,270,567
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MCDONALDS CORP
0.40% $1,247,942,436.52 4,015,388
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PEPSICO INC
0.38% $1,196,577,311.73 7,705,437
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VERIZON COMMUNICATIONS INC
0.38% $1,193,622,919.80 23,777,349
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INTEL CORP
0.37% $1,168,292,898.09 26,473,893
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AT&T INC.
0.36% $1,144,309,253.49 39,472,551
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MORGAN STANLEY
0.35% $1,116,311,059.43 6,783,199
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NEXTERA ENERGY INC
0.35% $1,090,654,452.72 11,742,619
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