Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3557 Holdings
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Holding Shares Market Value
Apple Inc.112,295,171$16,131,201,314
Microsoft Corp.165,455,504$11,327,083,804
Amazon.com Inc.9,141,166$8,455,487,138
Facebook Inc. Class A53,142,488$7,984,658,822
Exxon Mobil Corp.94,051,472$7,679,302,689
Johnson & Johnson61,282,884$7,566,597,687
JPMorgan Chase & Co.80,633,433$7,015,108,671
Berkshire Hathaway Inc. Class B42,088,472$6,953,436,459
Alphabet Inc. Class A6,769,387$6,258,433,669
Alphabet Inc. Class C6,593,611$5,973,547,822
General Electric Co.199,314,995$5,778,141,705
Wells Fargo & Co.101,852,386$5,483,732,462
AT&T Inc.138,327,598$5,481,922,709
Bank of America Corp.225,832,325$5,270,926,466
Procter & Gamble Co.57,651,754$5,034,727,677
Chevron Corp.42,662,894$4,552,130,790
Pfizer Inc.133,996,277$4,545,153,716
Home Depot Inc.27,452,862$4,285,391,758
Verizon Communications Inc.91,794,609$4,214,290,499
Comcast Corp. Class A106,652,474$4,179,710,456
Walt Disney Co.33,859,428$3,914,149,877
Philip Morris International Inc.34,960,514$3,875,023,372
Merck & Co. Inc.62,080,669$3,869,488,099
Intel Corp.106,588,806$3,853,185,337
Cisco Systems Inc.112,935,168$3,847,701,174
Visa Inc. Class A41,883,378$3,820,601,741
Citigroup Inc.64,226,035$3,797,043,189
UnitedHealth Group Inc.21,671,836$3,789,970,680
Coca-Cola Co.87,440,864$3,773,073,282
PepsiCo Inc.32,173,912$3,644,660,751
Altria Group Inc.43,784,614$3,142,859,593
Oracle Corp.69,374,477$3,119,076,486
International Business Machines Corp.19,285,159$3,091,218,136
Market Liquidity Fund27,829,745$2,783,531,059
Amgen Inc.16,578,807$2,707,650,759
3M Co.13,449,504$2,633,816,368
McDonald's Corp.18,729,625$2,620,836,426
Wal-Mart Stores Inc.34,622,273$2,602,902,484
Vanguard Market Liquidity Fund25,769,253$2,577,440,702
Medtronic plc30,962,763$2,572,695,978
Mastercard Inc. Class A21,491,879$2,499,935,365
Boeing Co.13,205,532$2,440,778,480
AbbVie Inc.35,865,534$2,364,973,312
Schlumberger Ltd.31,392,592$2,278,788,253
Honeywell International Inc.17,158,289$2,250,138,019
Celgene Corp.17,496,594$2,170,452,486
Bristol-Myers Squibb Co.37,669,664$2,111,384,667
Priceline Group Inc.1,112,996$2,055,503,273
Union Pacific Corp.18,334,738$2,052,757,266
Gilead Sciences Inc.29,485,302$2,021,217,452
3557 Holdings
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