Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3574 Holdings
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Holding Shares Market Value
Apple Inc.110,842,401$18,736,799,465
Microsoft Corp.183,697,162$15,279,929,935
Amazon.com Inc.9,734,953$10,759,848,852
Facebook Inc. Class A56,527,296$10,178,304,918
Johnson & Johnson64,014,716$8,924,291,558
JPMorgan Chase & Co.83,936,756$8,444,877,021
Exxon Mobil Corp.100,997,540$8,418,144,959
Berkshire Hathaway Inc. Class B44,950,092$8,402,970,198
Alphabet Inc. Class A7,065,612$7,299,059,820
Alphabet Inc. Class C7,089,939$7,207,915,585
Bank of America Corp.234,875,373$6,433,236,466
Wells Fargo & Co.106,538,018$5,981,044,331
Procter & Gamble Co.60,840,381$5,252,958,496
Chevron Corp.45,170,503$5,234,809,593
Intel Corp.112,048,832$5,097,101,368
Pfizer Inc.141,821,460$4,972,260,388
AT&T Inc.146,477,487$4,928,967,438
UnitedHealth Group Inc.23,057,460$4,847,139,241
Visa Inc. Class A43,628,782$4,798,293,444
Citigroup Inc.64,958,825$4,774,473,638
Home Depot Inc.28,099,584$4,658,349,036
Verizon Communications Inc.97,300,880$4,657,793,126
Coca-Cola Co.91,571,437$4,210,454,673
General Electric Co.206,495,290$4,162,945,046
Cisco Systems Inc.119,179,193$4,069,969,441
Comcast Corp. Class A112,152,093$4,040,839,911
DowDuPont Inc.55,685,760$4,026,637,306
Philip Morris International Inc.37,052,735$3,877,198,190
Oracle Corp.73,982,682$3,765,718,514
PepsiCo Inc.34,007,600$3,748,657,748
Merck & Co. Inc.65,037,000$3,582,888,330
Boeing Co.13,396,765$3,456,097,435
AbbVie Inc.38,016,967$3,431,031,272
Walt Disney Co.34,955,334$3,418,981,219
Mastercard Inc. Class A22,528,483$3,351,562,416
3M Co.14,229,722$3,275,539,707
International Business Machines Corp.21,100,941$3,250,810,970
McDonald's Corp.19,319,756$3,224,660,474
Wal-Mart Stores Inc.35,938,920$3,137,827,105
Amgen Inc.17,399,951$3,048,819,414
Altria Group Inc.45,758,271$2,938,596,164
Market Liquidity Fund26,973,566$2,697,626,348
NVIDIA Corp.12,878,418$2,663,385,627
Honeywell International Inc.18,124,958$2,612,893,945
Medtronic plc32,393,489$2,608,323,734
Broadcom Ltd.9,692,854$2,558,041,099
Bristol-Myers Squibb Co.39,095,715$2,410,641,787
Gilead Sciences Inc.31,134,572$2,333,847,517
Vanguard Market Liquidity Fund23,082,938$2,308,524,583
Texas Instruments Inc.23,617,237$2,283,550,646
3574 Holdings
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