Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3615 Holdings
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Holding Shares Market Value
Bank of America Corp.212,643,719$3,508,621,364
General Electric Co.186,785,562$5,435,459,854
Microsoft Corp.154,267,437$9,243,704,825
AT&T Inc.128,183,489$4,715,870,560
Pfizer Inc.126,424,612$4,008,924,447
Apple Inc.106,668,158$12,111,102,659
Cisco Systems Inc.104,838,450$3,216,443,646
Intel Corp.98,599,772$3,438,174,050
Wells Fargo & Co.94,636,338$4,354,217,911
Exxon Mobil Corp.86,414,240$7,200,034,477
Verizon Communications Inc.84,931,225$4,085,191,923
Ford Motor Co.81,176,955$953,017,452
Coca-Cola Co.80,963,223$3,432,840,655
JPMorgan Chase & Co.75,296,951$5,215,066,826
Oracle Corp.64,451,585$2,476,229,896
Merck & Co. Inc.57,620,453$3,383,473,000
Citigroup Inc.57,537,925$2,827,989,014
Johnson & Johnson57,020,116$6,613,763,255
Procter & Gamble Co.53,439,824$4,638,576,723
Comcast Corp. Class A50,071,324$3,095,409,250
Facebook Inc. Class A48,394,286$6,339,167,523
Altria Group Inc.40,739,072$2,693,667,441
Kinder Morgan Inc./DE39,518,559$807,364,160
Visa Inc. Class A39,321,270$3,244,397,988
Chevron Corp.39,314,042$4,118,145,900
Berkshire Hathaway Inc. Class B38,894,224$5,612,436,523
HP Inc.35,608,104$515,961,427
Sirius XM Holdings Inc.35,533,590$148,175,070
Bristol-Myers Squibb Co.34,815,882$1,772,476,553
Hewlett Packard Enterprise Co.34,600,099$777,464,225
US Bancorp33,966,455$1,520,338,526
AbbVie Inc.33,930,836$1,892,662,032
Philip Morris International Inc.32,333,854$3,118,276,880
Mondelez International Inc. Class A30,792,832$1,383,829,870
QUALCOMM Inc.30,710,207$2,110,405,425
Abbott Laboratories30,640,497$1,202,333,102
Walt Disney Co.30,156,977$2,795,250,198
PepsiCo Inc.29,990,148$3,214,943,866
Morgan Stanley29,853,252$1,002,173,670
Wal-Mart Stores Inc.29,233,469$2,046,927,499
General Motors Co.29,215,837$923,220,449
Medtronic plc29,066,567$2,384,039,825
Starbucks Corp.29,051,644$1,541,770,747
Schlumberger Ltd.28,907,679$2,261,447,728
Boston Scientific Corp.28,365,024$624,030,528
NIKE Inc. Class B28,108,996$1,410,509,419
Gilead Sciences Inc.27,495,125$2,024,466,054
Regions Financial Corp.26,131,921$279,872,874
Twenty-First Century Fox Inc. Class A25,921,725$680,963,716
ConocoPhillips25,800,764$1,121,043,196
3615 Holdings
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