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Vanguard - All fund holdings
Vanguard Total Stock Market Index Fund
Stock Holdings as of 03/31/2014

3684 Holdings
1-50 of 3684 |   Next>

Holding Shares Market Value
Apple Inc.13,808,229$7,411,428,833
Exxon Mobil Corp.66,864,330$6,531,307,754
Google Inc. Class A4,329,647$4,825,434,878
Microsoft Corp.115,585,047$4,737,831,077
Johnson & Johnson43,763,753$4,298,913,457
Wells Fargo & Co.81,423,366$4,049,998,225
General Electric Co.155,110,652$4,015,814,780
JPMorgan Chase & Co.58,578,532$3,556,302,678
Chevron Corp.29,541,830$3,512,819,005
Procter & Gamble Co.41,956,930$3,381,728,558
Berkshire Hathaway Inc. Class B26,962,913$3,369,555,238
Pfizer Inc.98,759,167$3,172,144,444
International Business Machines Corp.16,108,600$3,100,744,414
Verizon Communications Inc.64,053,019$3,047,002,114
AT&T Inc.80,552,359$2,824,971,230
Bank of America Corp.163,483,282$2,811,912,450
Merck & Co. Inc.45,493,326$2,582,656,117
Coca-Cola Co.61,345,368$2,371,611,927
Oracle Corp.52,186,205$2,134,937,647
Citigroup Inc.44,616,705$2,123,755,158
QUALCOMM Inc.26,152,782$2,062,408,389
Intel Corp.76,923,731$1,985,401,497
PepsiCo Inc.23,655,000$1,975,192,500
Schlumberger Ltd.20,209,944$1,970,469,540
Walt Disney Co.24,394,252$1,953,247,758
Wal-Mart Stores Inc.25,048,091$1,914,425,595
Amazon.com Inc.5,683,503$1,912,612,430
Philip Morris International Inc.23,306,504$1,908,103,482
Facebook Inc. Class A30,561,641$1,841,033,254
Cisco Systems Inc.79,675,289$1,785,523,226
Comcast Corp. Class A35,321,960$1,766,804,439
Home Depot Inc.21,771,207$1,722,755,610
Gilead Sciences Inc.23,787,982$1,685,616,405
Visa Inc. Class A7,797,750$1,683,222,315
United Technologies Corp.13,450,956$1,571,609,699
McDonald's Corp.15,298,372$1,499,699,407
American Express Co.16,433,492$1,479,507,285
Amgen Inc.11,674,225$1,439,898,912
3M Co.10,250,962$1,390,645,505
Boeing Co.10,924,632$1,370,932,070
CVS Caremark Corp.18,292,684$1,369,390,324
ConocoPhillips18,966,076$1,334,263,447
Bristol-Myers Squibb Co.25,524,688$1,326,007,542
Union Pacific Corp.7,041,434$1,321,395,504
AbbVie Inc.24,574,886$1,263,149,140
UnitedHealth Group Inc.15,298,546$1,254,327,787
US Bancorp/MN28,175,978$1,207,622,417
MasterCard Inc. Class A15,883,058$1,186,464,433
Occidental Petroleum Corp.12,294,630$1,171,555,293
Altria Group Inc.30,847,821$1,154,633,940
3684 Holdings
1-50 of 3684 |   Next>

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