Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3667 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund1,974,187,917$1,974,187,917
Bank of America Corp.198,893,223$2,689,036,375
General Electric Co.181,901,927$5,782,662,259
Microsoft Corp.144,774,458$7,995,893,315
Pfizer Inc.118,973,234$3,526,366,656
AT&T Inc.118,466,285$4,640,324,383
Apple Inc.101,493,568$11,061,783,976
Cisco Systems Inc.96,947,853$2,760,105,375
Intel Corp.91,030,209$2,944,827,261
Wells Fargo & Co.88,031,536$4,257,205,081
Exxon Mobil Corp.80,017,290$6,688,645,271
Verizon Communications Inc.78,488,370$4,244,651,050
Coca-Cola Co.75,167,128$3,487,003,068
Ford Motor Co.75,112,631$1,014,020,519
JPMorgan Chase & Co.70,698,567$4,186,769,138
Oracle Corp.60,698,808$2,483,188,235
Citigroup Inc.54,486,502$2,274,811,459
Merck & Co. Inc.53,815,809$2,847,394,454
Johnson & Johnson53,168,623$5,752,845,009
Procter & Gamble Co.52,168,922$4,294,023,970
Comcast Corp. Class A46,836,415$2,860,768,228
Facebook Inc. Class A42,001,841$4,792,410,058
Sirius XM Holdings Inc.39,939,294$157,760,211
Altria Group Inc.37,672,954$2,360,587,298
EMC Corp./MA37,384,237$996,289,916
Visa Inc. Class A37,000,903$2,829,829,061
Kinder Morgan Inc./DE36,525,910$652,352,753
Chevron Corp.36,291,985$3,462,255,369
Berkshire Hathaway Inc. Class B35,608,592$5,052,147,033
Hewlett Packard Enterprise Co.33,490,700$593,790,111
HP Inc.33,299,066$410,244,493
Bristol-Myers Squibb Co.32,139,356$2,053,062,061
US Bancorp31,906,309$1,295,077,082
AbbVie Inc.31,038,022$1,772,891,817
Wal-Mart Stores Inc.30,820,783$2,110,915,428
Philip Morris International Inc.29,850,372$2,928,619,997
QUALCOMM Inc.28,788,687$1,472,253,453
Mondelez International Inc. Class A28,761,334$1,153,904,720
Abbott Laboratories28,467,594$1,190,799,457
Morgan Stanley28,285,820$707,428,358
Walt Disney Co.28,279,642$2,808,451,247
PepsiCo Inc.27,905,913$2,859,797,964
Twenty-First Century Fox Inc. Class A27,891,144$777,605,095
Medtronic plc27,086,481$2,031,486,075
Starbucks Corp.27,050,934$1,614,940,760
General Motors Co.26,766,792$841,280,273
Gilead Sciences Inc.26,343,454$2,419,909,684
NIKE Inc. Class B26,001,362$1,598,303,722
Boston Scientific Corp.25,923,284$487,616,972
Alcoa Inc.25,287,073$242,250,159
3667 Holdings
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