Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3792 Holdings
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Holding Shares Market Value
Bank of America Corp.181,212,395$2,745,367,784
General Electric Co.173,031,989$4,133,734,217
Microsoft Corp.127,830,765$5,164,362,906
Pfizer Inc.108,552,413$3,392,262,906
Apple Inc.101,053,494$11,839,427,357
Wells Fargo & Co.89,429,497$4,643,179,484
AT&T Inc.89,361,511$2,941,780,942
Cisco Systems Inc.88,113,092$2,323,101,671
Intel Corp.83,317,958$2,752,825,332
Exxon Mobil Corp.72,964,228$6,378,532,812
Verizon Communications Inc.71,499,439$3,268,239,357
Coca-Cola Co.67,925,356$2,796,486,907
Ford Motor Co.65,078,307$957,301,896
JPMorgan Chase & Co.64,424,207$3,503,388,377
Oracle Corp.57,270,396$2,399,056,888
Citigroup Inc.49,601,278$2,328,780,002
Merck & Co. Inc.49,122,241$2,961,088,687
Johnson & Johnson48,229,540$4,829,706,136
Procter & Gamble Co.46,560,489$3,924,583,618
Comcast Corp. Class A39,432,173$2,095,622,834
Sirius XM Holdings Inc.37,839,536$134,330,353
Facebook Inc. Class A36,404,651$2,763,477,057
EMC Corp./MA35,065,733$909,254,457
Altria Group Inc.34,067,923$1,809,006,711
Chevron Corp.32,573,720$3,339,783,512
Hewlett-Packard Co.32,159,412$1,161,919,556
US Bancorp/MN30,880,294$1,294,193,122
Twenty-First Century Fox Inc. Class A30,713,097$1,018,446,297
Berkshire Hathaway Inc. Class B30,414,656$4,376,973,145
Kinder Morgan Inc./DE29,201,370$1,198,716,239
QUALCOMM Inc.28,646,121$1,789,236,718
Bristol-Myers Squibb Co.28,579,768$1,722,502,617
Wal-Mart Stores Inc.27,764,094$2,359,392,708
Mondelez International Inc. Class A27,492,118$968,822,238
Philip Morris International Inc.26,768,063$2,147,869,375
Walt Disney Co.26,305,417$2,392,740,730
AbbVie Inc.26,082,635$1,574,087,022
Gilead Sciences Inc.25,994,108$2,724,962,342
Abbott Laboratories25,952,041$1,161,613,355
PepsiCo Inc.25,790,166$2,418,601,767
Morgan Stanley25,285,404$854,899,509
Medtronic plc24,403,583$1,742,415,826
American International Group Inc.24,119,583$1,178,724,021
Regions Financial Corp.23,724,402$206,402,297
Boston Scientific Corp.22,853,639$338,462,394
Home Depot Inc.22,704,928$2,370,848,582
Schlumberger Ltd.22,172,845$1,826,820,700
General Motors Co.22,144,691$722,359,820
Corning Inc.22,095,682$525,214,361
ConocoPhillips21,207,861$1,335,671,086
3792 Holdings
1-50 of 3792 |   Next>