Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3580 Holdings
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Holding Shares Market Value
Apple Inc.110,906,475$15,193,078,010
Microsoft Corp.161,732,431$10,347,640,935
Amazon.com Inc.8,841,896$7,471,755,796
Exxon Mobil Corp.90,765,394$7,381,041,840
Johnson & Johnson59,577,718$7,280,992,917
JPMorgan Chase & Co.78,386,928$7,103,423,415
Berkshire Hathaway Inc. Class B40,824,796$6,998,186,530
Facebook Inc. Class A51,249,285$6,946,328,089
General Electric Co.193,721,337$5,774,833,056
Wells Fargo & Co.99,002,793$5,730,281,659
AT&T Inc.134,534,928$5,622,214,641
Alphabet Inc. Class A6,482,928$5,477,620,355
Bank of America Corp.221,381,101$5,463,685,573
Procter & Gamble Co.58,606,743$5,337,316,085
Alphabet Inc. Class C6,422,059$5,286,703,189
Chevron Corp.41,309,582$4,647,327,975
Pfizer Inc.132,907,550$4,534,805,606
Verizon Communications Inc.89,327,531$4,433,325,364
Merck & Co. Inc.60,382,856$3,977,418,725
Comcast Corp. Class A104,353,064$3,904,891,655
Home Depot Inc.26,654,332$3,862,479,250
Intel Corp.103,795,387$3,757,393,009
Cisco Systems Inc.109,901,193$3,756,422,777
Citigroup Inc.62,492,519$3,737,677,561
Philip Morris International Inc.33,953,000$3,712,760,550
Visa Inc. Class A40,887,595$3,595,655,104
Coca-Cola Co.85,001,439$3,566,660,380
PepsiCo Inc.31,375,456$3,463,222,833
Walt Disney Co.31,352,676$3,451,616,101
UnitedHealth Group Inc.20,833,203$3,445,395,112
International Business Machines Corp.18,732,877$3,368,545,942
Altria Group Inc.42,651,425$3,195,444,761
Amgen Inc.16,283,799$2,874,579,037
Oracle Corp.67,433,652$2,871,999,239
3M Co.13,150,215$2,450,542,565
Medtronic plc30,272,267$2,449,329,123
Schlumberger Ltd.30,442,728$2,446,377,622
Wal-Mart Stores Inc.33,872,603$2,402,583,731
Mastercard Inc. Class A21,069,519$2,327,339,069
McDonald's Corp.18,161,064$2,318,259,820
Boeing Co.12,829,968$2,312,345,133
Market Liquidity Fund22,333,695$2,233,592,886
AbbVie Inc.35,563,012$2,199,216,662
Celgene Corp.16,965,060$2,095,354,561
Vanguard Market Liquidity Fund20,818,245$2,082,032,727
Honeywell International Inc.16,670,386$2,075,463,057
Bristol-Myers Squibb Co.36,595,323$2,075,320,767
Gilead Sciences Inc.28,850,149$2,033,358,502
Allergan plc8,217,373$2,011,777,258
Union Pacific Corp.18,055,507$1,948,911,426
3580 Holdings
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