Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3781 Holdings
1-50 of 3781 |   Next>

Holding Shares Market Value
Vanguard Market Liquidity Fund2,555,377,530$2,555,377,529
Bank of America Corp.185,455,843$2,854,165,424
General Electric Co.177,144,480$4,394,954,549
Microsoft Corp.130,224,808$5,294,289,569
Pfizer Inc.111,111,342$3,865,563,588
Apple Inc.102,728,061$12,782,452,630
AT&T Inc.91,526,391$2,988,336,666
Wells Fargo & Co.90,881,376$4,943,946,854
Cisco Systems Inc.90,025,904$2,477,963,008
Intel Corp.83,536,977$2,612,201,271
Exxon Mobil Corp.73,991,237$6,289,255,145
Verizon Communications Inc.73,292,604$3,564,219,333
Coca-Cola Co.69,308,774$2,810,470,786
Ford Motor Co.68,452,366$1,104,821,187
JPMorgan Chase & Co.65,750,757$3,983,180,859
Oracle Corp.58,087,066$2,506,456,898
Citigroup Inc.50,812,503$2,617,860,155
Merck & Co. Inc.50,276,472$2,889,891,611
Johnson & Johnson49,043,542$4,933,780,325
Procter & Gamble Co.47,627,189$3,902,571,867
Sirius XM Holdings Inc.44,192,834$168,816,626
Comcast Corp. Class A40,475,138$2,285,631,043
Facebook Inc. Class A37,465,669$3,080,239,977
EMC Corp./MA35,869,717$916,829,967
Altria Group Inc.34,790,398$1,740,215,708
Visa Inc. Class A34,636,799$2,265,593,023
Chevron Corp.33,165,834$3,481,749,253
Hewlett-Packard Co.32,217,718$1,003,904,093
US Bancorp/MN31,514,710$1,376,247,386
Berkshire Hathaway Inc. Class B31,174,520$4,499,106,726
Twenty-First Century Fox Inc. Class A30,861,706$1,044,360,131
Kinder Morgan Inc./DE30,056,167$1,264,162,384
Bristol-Myers Squibb Co.29,309,141$1,890,439,595
QUALCOMM Inc.29,086,549$2,016,861,308
Wal-Mart Stores Inc.28,431,364$2,338,479,689
Mondelez International Inc. Class A27,603,928$996,225,762
Philip Morris International Inc.27,287,241$2,055,547,865
Walt Disney Co.26,980,897$2,830,026,286
AbbVie Inc.26,699,780$1,563,005,121
Abbott Laboratories26,552,847$1,230,193,402
Gilead Sciences Inc.26,265,319$2,577,415,753
PepsiCo Inc.26,151,329$2,500,590,079
Morgan Stanley25,802,755$920,900,326
Medtronic plc25,100,886$1,957,618,099
American International Group Inc.24,191,316$1,325,442,204
General Motors Co.24,119,653$904,486,988
Regions Financial Corp.23,954,608$226,371,046
Boston Scientific Corp.23,441,486$416,086,377
Home Depot Inc.23,234,816$2,639,707,446
Schlumberger Ltd.22,510,279$1,878,257,680
3781 Holdings
1-50 of 3781 |   Next>