Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3743 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund2,894,963,945$2,894,963,944
Bank of America Corp.190,988,325$3,214,333,510
General Electric Co.173,064,066$5,390,945,656
Microsoft Corp.139,139,690$7,719,470,001
Pfizer Inc.113,180,468$3,653,465,507
AT&T Inc.112,756,002$3,879,934,029
Apple Inc.97,115,836$10,222,412,897
Cisco Systems Inc.93,085,371$2,527,733,250
Intel Corp.86,562,141$2,982,065,757
Wells Fargo & Co.84,407,813$4,588,408,715
Exxon Mobil Corp.76,325,369$5,949,562,514
Verizon Communications Inc.74,579,172$3,447,049,330
Coca-Cola Co.71,806,305$3,084,798,863
Ford Motor Co.71,467,623$1,006,978,808
JPMorgan Chase & Co.67,562,732$4,461,167,194
Oracle Corp.58,669,027$2,143,179,556
Citigroup Inc.51,916,315$2,686,669,301
Merck & Co. Inc.51,221,217$2,705,504,682
Johnson & Johnson50,733,121$5,211,306,189
Procter & Gamble Co.49,897,085$3,962,327,520
Comcast Corp. Class A44,784,115$2,527,167,609
Facebook Inc. Class A39,548,793$4,139,176,675
Sirius XM Holdings Inc.38,404,725$156,307,231
Altria Group Inc.35,954,691$2,092,922,563
Visa Inc. Class A35,691,364$2,767,865,278
EMC Corp./MA35,567,422$913,371,397
Kinder Morgan Inc./DE34,771,661$518,793,182
Chevron Corp.34,502,641$3,103,857,584
Berkshire Hathaway Inc. Class B33,807,482$4,463,939,923
HP Inc.33,073,760$391,593,318
Hewlett Packard Enterprise Co.33,067,963$502,633,038
US Bancorp30,629,004$1,306,939,601
Bristol-Myers Squibb Co.30,580,497$2,103,632,389
Twenty-First Century Fox Inc. Class A29,256,384$794,603,389
AbbVie Inc.28,470,169$1,686,572,812
Philip Morris International Inc.28,417,610$2,498,192,095
Mondelez International Inc. Class A27,712,845$1,242,643,970
QUALCOMM Inc.27,557,132$1,377,443,243
Abbott Laboratories27,366,182$1,229,015,234
Walt Disney Co.27,282,122$2,866,805,380
PepsiCo Inc.26,732,123$2,671,073,730
Morgan Stanley26,624,644$846,929,926
Wal-Mart Stores Inc.26,454,106$1,621,636,698
Gilead Sciences Inc.26,426,025$2,674,049,470
Medtronic plc25,931,450$1,994,647,134
Starbucks Corp.25,866,651$1,552,775,060
General Motors Co.25,682,193$873,451,384
NIKE Inc. Class B24,746,368$1,546,648,000
Boston Scientific Corp.24,644,073$454,436,706
Alcoa Inc.24,016,095$237,038,858
3743 Holdings
1-50 of 3743 |   Next>