Shares | Market Value ($000) | ||
Common Stocks (96.3%) | |||
Communication Services (7.8%) | |||
* | Alphabet Inc. Class A | 716,097 | 1,308,567 |
* | Alphabet Inc. Class C | 292,365 | 536,706 |
* | Facebook Inc. Class A | 1,553,662 | 401,358 |
* | Twitter Inc. | 4,540,000 | 229,406 |
* | Discovery Inc. Class C | 5,839,498 | 204,558 |
* | Walt Disney Co. | 1,178,862 | 198,249 |
News Corp. Class A | 9,631,710 | 186,855 | |
Electronic Arts Inc. | 1,227,539 | 175,784 | |
Vodafone Group plc ADR | 10,004,932 | 171,585 | |
Comcast Corp. Class A | 2,884,213 | 142,970 | |
Verizon Communications Inc. | 1,447,910 | 79,273 | |
Omnicom Group Inc. | 913,679 | 56,995 | |
Interpublic Group of Cos. Inc. | 2,230,783 | 53,695 | |
ViacomCBS Inc. Class B | 936,079 | 45,400 | |
3,791,401 | |||
Consumer Discretionary (10.7%) | |||
Lennar Corp. Class A | 6,132,759 | 509,939 | |
* | General Motors Co. | 9,843,002 | 498,843 |
McDonald's Corp. | 2,188,469 | 454,851 | |
Lowe's Cos. Inc. | 2,418,914 | 403,596 | |
Sony Corp. ADR | 3,375,000 | 323,021 | |
* | Dollar Tree Inc. | 2,743,648 | 278,919 |
Starbucks Corp. | 2,754,022 | 266,617 | |
DR Horton Inc. | 3,372,510 | 259,009 | |
Dollar General Corp. | 1,306,561 | 254,270 | |
* | Aptiv plc | 1,858,543 | 248,301 |
Home Depot Inc. | 912,660 | 247,167 | |
* | Alibaba Group Holding Ltd. ADR | 941,945 | 239,094 |
Magna International Inc. | 3,251,132 | 228,392 | |
1 | Cie Generale des Etablissements Michelin SCA ADR | 6,669,019 | 183,865 |
* | Ross Stores Inc. | 1,500,201 | 166,957 |
* | Booking Holdings Inc. | 85,400 | 166,046 |
Daimler AG (Registered) | 2,159,229 | 151,651 | |
Bayerische Motoren Werke AG | 1,371,126 | 116,092 | |
Harley-Davidson Inc. | 1,936,773 | 77,645 | |
* | Goodyear Tire & Rubber Co. | 4,584,996 | 48,372 |
Genuine Parts Co. | 496,042 | 46,568 | |
* | Adient plc | 1,311,943 | 42,363 |
Lennar Corp. Class B | 46,457 | 3,110 | |
5,214,688 | |||
Consumer Staples (4.9%) | |||
Coca-Cola Co. | 11,667,954 | 561,812 |
Shares | Market Value ($000) | ||
Procter & Gamble Co. | 4,126,036 | 528,999 | |
PepsiCo Inc. | 2,460,473 | 336,027 | |
Mondelez International Inc. Class A | 5,978,253 | 331,434 | |
Tyson Foods Inc. Class A | 2,787,779 | 179,282 | |
Unilever plc ADR | 2,238,698 | 130,606 | |
Nestle SA (Registered) | 1,050,073 | 117,710 | |
Sysco Corp. | 1,478,440 | 105,723 | |
Walgreens Boots Alliance Inc. | 2,100,000 | 105,525 | |
2,397,118 | |||
Energy (4.4%) | |||
ConocoPhillips | 8,063,299 | 322,774 | |
Hess Corp. | 3,813,667 | 205,862 | |
Marathon Oil Corp. | 27,143,787 | 196,521 | |
Halliburton Co. | 11,140,235 | 196,402 | |
Cabot Oil & Gas Corp. | 10,471,000 | 191,933 | |
1 | Royal Dutch Shell plc Class A ADR | 4,873,612 | 179,788 |
Apache Corp. | 10,056,877 | 143,612 | |
Phillips 66 | 1,990,000 | 134,922 | |
Suncor Energy Inc. | 7,518,132 | 125,778 | |
* | NOV Inc. | 10,076,888 | 124,752 |
Pioneer Natural Resources Co. | 820,000 | 99,138 | |
Marathon Petroleum Corp. | 1,889,789 | 81,563 | |
Schlumberger NV | 2,915,800 | 64,760 | |
Baker Hughes Co. Class A | 3,043,100 | 61,136 | |
Murphy Oil Corp. | 2,182,252 | 26,995 | |
2,155,936 | |||
Financials (18.3%) | |||
Bank of America Corp. | 27,712,907 | 821,688 | |
Wells Fargo & Co. | 27,416,908 | 819,217 | |
Citigroup Inc. | 14,007,658 | 812,304 | |
JPMorgan Chase & Co. | 6,116,301 | 786,984 | |
Intercontinental Exchange Inc. | 6,318,931 | 697,294 | |
American International Group Inc. | 13,653,256 | 511,178 | |
PNC Financial Services Group Inc. | 2,966,955 | 425,817 | |
American Express Co. | 3,553,707 | 413,154 | |
Commerce Bancshares Inc. | 4,348,061 | 290,668 | |
Ameriprise Financial Inc. | 1,330,000 | 263,167 | |
Capital One Financial Corp. | 2,453,000 | 255,750 | |
Goldman Sachs Group Inc. | 937,349 | 254,181 | |
Marsh & McLennan Cos. Inc. | 2,103,988 | 231,249 | |
Cincinnati Financial Corp. | 2,192,000 | 184,325 | |
East West Bancorp Inc. | 3,000,000 | 179,820 | |
Citizens Financial Group Inc. | 4,602,351 | 167,710 | |
Travelers Cos. Inc. | 1,204,992 | 164,240 | |
Chubb Ltd. | 1,121,000 | 163,296 | |
Truist Financial Corp. | 2,831,319 | 135,847 | |
Hartford Financial Services Group Inc. | 2,822,900 | 135,556 | |
* | BNP Paribas SA | 2,782,700 | 133,446 |
Cullen/Frost Bankers Inc. | 1,428,854 | 131,797 | |
Equitable Holdings Inc. | 5,114,540 | 126,738 | |
Bank of New York Mellon Corp. | 3,006,134 | 119,734 | |
Charles Schwab Corp. | 2,052,884 | 105,806 | |
Mitsubishi UFJ Financial Group Inc. ADR | 19,937,000 | 90,913 | |
Morgan Stanley | 1,120,616 | 75,137 | |
CIT Group Inc. | 2,022,510 | 74,631 | |
Discover Financial Services | 888,078 | 74,190 | |
Synchrony Financial | 1,589,451 | 53,485 |
Shares | Market Value ($000) | ||
Fifth Third Bancorp | 1,769,412 | 51,189 | |
State Street Corp. | 665,188 | 46,563 | |
China Construction Bank Corp. Class H | 51,864,000 | 39,283 | |
* | Natwest Group plc | 18,703,800 | 37,551 |
Sumitomo Mitsui Financial Group Inc. | 963,900 | 29,947 | |
* | Banco de Sabadell SA | 36,345,074 | 15,874 |
* | Barclays plc | 1,783,152 | 3,253 |
8,922,982 | |||
Health Care (16.5%) | |||
Medtronic plc | 10,746,273 | 1,196,383 | |
Johnson & Johnson | 6,783,277 | 1,106,556 | |
Danaher Corp. | 3,128,904 | 744,178 | |
Anthem Inc. | 1,847,538 | 548,682 | |
UnitedHealth Group Inc. | 1,470,250 | 490,446 | |
Thermo Fisher Scientific Inc. | 642,553 | 327,509 | |
Cigna Corp. | 1,502,773 | 326,177 | |
* | HCA Healthcare Inc. | 1,886,900 | 306,583 |
Amgen Inc. | 1,116,000 | 269,436 | |
Humana Inc. | 690,218 | 264,429 | |
Pfizer Inc. | 6,548,831 | 235,103 | |
* | Alcon Inc. | 3,105,000 | 222,660 |
Zoetis Inc. | 1,346,898 | 207,759 | |
Roche Holding AG | 566,900 | 195,644 | |
* | Elanco Animal Health Inc. | 6,499,000 | 188,666 |
Novartis AG ADR | 1,947,000 | 176,145 | |
* | Laboratory Corp. of America Holdings | 759,677 | 173,898 |
* | Boston Scientific Corp. | 4,859,456 | 172,219 |
* | IQVIA Holdings Inc. | 957,951 | 170,324 |
GlaxoSmithKline plc ADR | 4,176,194 | 155,563 | |
Sanofi ADR | 2,209,191 | 104,296 | |
* | Centene Corp. | 1,362,088 | 82,134 |
* | Maravai LifeSciences Holdings Inc. Class A | 2,206,044 | 76,859 |
Bristol-Myers Squibb Co. | 1,123,900 | 69,041 | |
Zimmer Biomet Holdings Inc. | 440,508 | 67,693 | |
AbbVie Inc. | 544,967 | 55,848 | |
* | Biogen Inc. | 150,011 | 42,395 |
Merck & Co. Inc. | 442,329 | 34,090 | |
8,010,716 | |||
Industrials (7.8%) | |||
Honeywell International Inc. | 3,225,165 | 630,101 | |
General Electric Co. | 48,782,484 | 520,997 | |
Norfolk Southern Corp. | 1,379,985 | 326,532 | |
FedEx Corp. | 1,293,573 | 304,429 | |
Parker-Hannifin Corp. | 995,000 | 263,287 | |
* | CNH Industrial NV | 18,302,399 | 233,356 |
Johnson Controls International plc | 4,680,000 | 233,158 | |
Xylem Inc. | 2,400,000 | 231,816 | |
Waste Management Inc. | 1,790,874 | 199,360 | |
Cummins Inc. | 843,172 | 197,656 | |
Allegion plc | 1,836,000 | 196,470 | |
General Dynamics Corp. | 1,018,000 | 149,320 | |
Caterpillar Inc. | 738,613 | 135,048 | |
Stanley Black & Decker Inc. | 334,890 | 58,100 | |
PACCAR Inc. | 490,820 | 44,773 | |
* | Fluor Corp. | 2,263,685 | 39,139 |
* | Embraer SA ADR | 1,662,054 | 10,670 |
3,774,212 |
Shares | Market Value ($000) | ||
Information Technology (21.6%) | |||
Microsoft Corp. | 10,713,719 | 2,485,154 | |
Apple Inc. | 8,157,425 | 1,076,454 | |
Taiwan Semiconductor Manufacturing Co. Ltd. ADR | 6,416,986 | 779,792 | |
Samsung Electronics Co. Ltd. | 8,514,100 | 622,440 | |
* | Micron Technology Inc. | 5,621,323 | 439,981 |
Visa Inc. Class A | 2,233,218 | 431,569 | |
Analog Devices Inc. | 2,683,813 | 395,406 | |
Texas Instruments Inc. | 2,282,946 | 378,261 | |
* | ANSYS Inc. | 1,042,000 | 369,254 |
* | Adobe Inc. | 794,000 | 364,263 |
QUALCOMM Inc. | 2,191,000 | 342,409 | |
Microchip Technology Inc. | 2,228,000 | 303,253 | |
* | PayPal Holdings Inc. | 1,068,000 | 250,243 |
Cisco Systems Inc. | 5,148,405 | 229,516 | |
Oracle Corp. | 3,491,625 | 210,999 | |
Amphenol Corp. Class A | 1,625,785 | 203,028 | |
Hewlett Packard Enterprise Co. | 16,279,141 | 200,885 | |
Accenture plc Class A | 769,234 | 186,093 | |
* | salesforce.com Inc. | 726,986 | 163,979 |
Corning Inc. | 4,483,651 | 160,829 | |
* | F5 Networks Inc. | 797,600 | 156,290 |
Fidelity National Information Services Inc. | 1,165,634 | 143,909 | |
TE Connectivity Ltd. | 1,179,766 | 142,044 | |
Applied Materials Inc. | 1,460,204 | 141,173 | |
Telefonaktiebolaget LM Ericsson ADR | 11,217,080 | 139,877 | |
* | Palo Alto Networks Inc. | 322,027 | 112,951 |
CDW Corp. | 680,299 | 89,568 | |
10,519,620 | |||
Materials (2.1%) | |||
Corteva Inc. | 7,087,000 | 282,488 | |
Martin Marietta Materials Inc. | 823,000 | 236,539 | |
RPM International Inc. | 2,570,000 | 211,948 | |
Avery Dennison Corp. | 1,167,246 | 176,102 | |
International Paper Co. | 2,376,429 | 119,558 | |
1,026,635 | |||
Other (0.4%) | |||
1 | SPDR S&P 500 ETF Trust | 529,972 | 196,127 |
Real Estate (1.2%) | |||
Prologis Inc. | 3,145,211 | 324,586 | |
Sun Communities Inc. | 720,000 | 103,053 | |
Equity LifeStyle Properties Inc. | 1,600,000 | 97,344 | |
* | Host Hotels & Resorts Inc. | 3,420,800 | 46,352 |
571,335 | |||
Utilities (0.6%) | |||
PPL Corp. | 8,369,203 | 231,576 | |
Southern Co. | 994,110 | 58,573 | |
290,149 | |||
Total Common Stocks (Cost $32,808,894) | 46,870,919 | ||
Temporary Cash Investments (4.0%) | |||
Money Market Fund (4.0%) | |||
2,3 | Vanguard Market Liquidity Fund, 0.107% | 19,276,747 | 1,927,675 |
Face Amount ($000) | Market Value ($000) | ||
U.S. Government and Agency Obligations (0.0%) | |||
4 | U.S. Cash Management Bill, 0.114%, 3/23/21 | 5,972 | 5,971 |
Total Temporary Cash Investments (Cost $1,933,387) | 1,933,646 | ||
Total Investments (100.3%) (Cost $34,742,281) | 48,804,565 | ||
Other Assets and Liabilities—Net (-0.3%) | (169,835) | ||
Net Assets (100%) | 48,634,730 | ||
Cost is in $000. |
* | Non-income-producing security. |
1 | Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $207,285,000. |
2 | Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield. |
3 | Collateral of $218,208,000 was received for securities on loan, of which $83,256,000 is held in Vanguard Market Liquidity Fund and $134,952,000 is held in cash. |
4 | Securities with a value of $5,972,000 have been segregated as initial margin for open futures contracts. |
ADR—American Depositary Receipt. |
Futures Contracts | ||||
($000) | ||||
Expiration | Number of Long (Short) Contracts | Notional Amount | Value and Unrealized Appreciation (Depreciation) | |
Long Futures Contracts | ||||
E-mini S&P 500 Index | March 2021 | 3,392 | 628,402 | 300 |
Level 1 ($000) | Level 2 ($000) | Level 3 ($000) | Total ($000) | |
Investments | ||||
Assets | ||||
Common Stocks | 45,408,028 | 1,462,891 | — | 46,870,919 |
Temporary Cash Investments | 1,927,675 | 5,971 | — | 1,933,646 |
Total | 47,335,703 | 1,468,862 | — | 48,804,565 |
Derivative Financial Instruments | ||||
Liabilities | ||||
Futures Contracts1 | 13,213 | — | — | 13,213 |
1 | Represents variation margin on the last day of the reporting period. |