Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3582 Holdings
1-50 of 3582 |   Next>

Holding Shares Market Value
Apple Inc.111,024,638$15,949,799,495
Microsoft Corp.163,525,781$10,769,807,937
Amazon.com Inc.9,034,128$8,009,115,837
Exxon Mobil Corp.92,975,750$7,624,941,258
Johnson & Johnson60,605,913$7,548,466,464
Facebook Inc. Class A52,460,022$7,451,946,125
JPMorgan Chase & Co.79,705,856$7,001,362,391
Berkshire Hathaway Inc. Class B41,555,125$6,926,408,235
General Electric Co.197,067,124$5,872,600,295
AT&T Inc.136,795,446$5,683,850,781
Wells Fargo & Co.100,693,336$5,604,591,082
Alphabet Inc. Class A6,604,695$5,599,460,421
Alphabet Inc. Class C6,582,154$5,460,291,672
Bank of America Corp.223,266,896$5,266,866,077
Procter & Gamble Co.56,957,578$5,117,638,383
Pfizer Inc.132,577,086$4,535,462,112
Chevron Corp.42,169,471$4,527,736,101
Verizon Communications Inc.90,800,284$4,426,513,845
Home Depot Inc.27,135,188$3,984,259,654
Comcast Corp. Class A105,439,254$3,963,461,558
Philip Morris International Inc.34,567,007$3,902,615,090
Merck & Co. Inc.61,416,404$3,902,398,310
Intel Corp.105,327,222$3,799,152,898
Citigroup Inc.63,476,016$3,797,135,277
Walt Disney Co.33,468,661$3,795,011,471
Cisco Systems Inc.111,559,000$3,770,694,200
Visa Inc. Class A41,387,569$3,678,113,257
Coca-Cola Co.86,467,791$3,669,693,050
PepsiCo Inc.31,792,780$3,556,340,371
UnitedHealth Group Inc.21,441,668$3,516,647,969
International Business Machines Corp.19,061,070$3,319,294,730
Altria Group Inc.43,281,067$3,091,133,805
Oracle Corp.68,534,400$3,057,319,584
Market Liquidity Fund27,790,904$2,779,646,268
Vanguard Market Liquidity Fund27,391,715$2,739,719,334
Amgen Inc.16,406,377$2,691,794,274
3M Co.13,282,798$2,541,397,741
Wal-Mart Stores Inc.34,237,730$2,467,855,578
Medtronic plc30,592,823$2,464,557,821
Schlumberger Ltd.31,050,832$2,425,069,979
McDonald's Corp.18,492,244$2,396,779,745
Mastercard Inc. Class A21,222,851$2,386,934,052
AbbVie Inc.35,513,177$2,314,038,613
Boeing Co.13,059,232$2,309,655,772
Celgene Corp.17,333,961$2,156,864,767
Honeywell International Inc.16,956,828$2,117,399,112
Bristol-Myers Squibb Co.37,260,513$2,026,226,697
Gilead Sciences Inc.29,186,001$1,982,313,188
Broadcom Ltd.8,933,612$1,956,103,684
Priceline Group Inc.1,098,737$1,955,718,898
3582 Holdings
1-50 of 3582 |   Next>