Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3576 Holdings
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Holding Shares Market Value
Apple Inc.107,359,335$12,434,358,180
Microsoft Corp.156,550,284$9,728,034,648
Exxon Mobil Corp.87,889,990$7,932,950,497
Johnson & Johnson57,656,000$6,642,547,760
JPMorgan Chase & Co.75,817,317$6,542,276,284
Berkshire Hathaway Inc. Class B39,400,223$6,421,448,345
Amazon.com Inc.8,558,557$6,417,805,138
General Electric Co.187,373,784$5,921,011,574
Facebook Inc. Class A49,598,883$5,706,351,489
AT&T Inc.130,162,950$5,535,830,264
Wells Fargo & Co.95,774,705$5,278,143,993
Alphabet Inc. Class A6,319,126$5,007,591,399
Procter & Gamble Co.56,683,460$4,765,945,317
Alphabet Inc.6,168,588$4,761,039,590
Bank of America Corp.214,199,154$4,733,801,303
Chevron Corp.40,008,346$4,708,982,324
Verizon Communications Inc.86,383,145$4,611,132,280
Pfizer Inc.128,584,313$4,176,418,486
Intel Corp.100,431,928$3,642,666,029
Citigroup Inc.60,190,801$3,577,139,303
Comcast Corp. Class A50,479,761$3,485,627,497
Home Depot Inc.25,791,280$3,458,094,822
Merck & Co. Inc.58,449,208$3,440,904,875
Coca-Cola Co.82,265,445$3,410,725,350
UnitedHealth Group Inc.20,169,939$3,227,997,038
Cisco Systems Inc.106,408,771$3,215,673,060
PepsiCo Inc.30,407,160$3,181,501,151
Walt Disney Co.30,329,375$3,160,927,463
Visa Inc. Class A39,581,531$3,088,151,049
International Business Machines Corp.18,123,544$3,008,327,069
Philip Morris International Inc.32,864,233$3,006,748,677
Altria Group Inc.41,374,314$2,797,731,113
Oracle Corp.65,315,224$2,511,370,363
Schlumberger Ltd.29,469,666$2,473,978,461
Amgen Inc.15,786,623$2,308,162,149
3M Co.12,749,834$2,276,737,857
Wal-Mart Stores Inc.32,757,385$2,264,190,451
AbbVie Inc.34,453,691$2,157,490,130
McDonald's Corp.17,591,525$2,141,240,423
Mastercard Inc. Class A20,405,276$2,106,844,747
Medtronic plc29,348,359$2,090,483,612
Bristol-Myers Squibb Co.35,417,036$2,069,771,584
QUALCOMM Inc.31,299,189$2,040,707,123
Gilead Sciences Inc.27,919,852$1,999,340,602
Boeing Co.12,421,412$1,933,765,420
Celgene Corp.16,423,272$1,900,993,734
Honeywell International Inc.16,134,074$1,869,132,473
Goldman Sachs Group Inc.7,584,395$1,816,083,383
Union Pacific Corp.17,448,454$1,809,055,711
CVS Health Corp.22,588,149$1,782,430,838
3576 Holdings
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