Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3809 Holdings
1-50 of 3809 |   Next>

Holding Shares Market Value
Vanguard Market Liquidity Fund1,306,592,367$1,306,592,366
Bank of America Corp.186,188,215$3,072,105,548
General Electric Co.177,698,245$4,845,831,141
Microsoft Corp.130,636,999$6,121,649,773
Pfizer Inc.111,498,187$3,874,561,998
Apple Inc.103,061,637$13,426,870,068
AT&T Inc.91,762,469$3,169,475,679
Wells Fargo & Co.91,235,316$5,105,528,283
Cisco Systems Inc.90,347,609$2,648,088,420
Intel Corp.83,814,581$2,888,250,461
Exxon Mobil Corp.74,238,412$6,325,112,702
Verizon Communications Inc.73,474,066$3,632,557,823
Coca-Cola Co.69,574,628$2,849,776,763
Ford Motor Co.68,749,229$1,042,925,804
JPMorgan Chase & Co.65,985,290$4,340,512,376
Oracle Corp.58,286,958$2,534,899,803
Citigroup Inc.51,012,449$2,758,753,242
Merck & Co. Inc.50,446,388$3,071,680,565
Johnson & Johnson49,205,833$4,927,472,117
Procter & Gamble Co.47,807,244$3,747,609,857
Sirius XM Holdings Inc.44,204,309$170,628,633
Comcast Corp. Class A40,634,409$2,375,487,550
Facebook Inc. Class A37,586,299$2,976,459,018
EMC Corp./MA36,005,328$948,380,340
Altria Group Inc.34,874,314$1,785,564,877
Visa Inc. Class A34,760,899$2,387,378,543
Chevron Corp.33,281,703$3,428,015,409
Hewlett-Packard Co.32,335,427$1,080,003,262
US Bancorp/MN31,582,073$1,361,503,167
Berkshire Hathaway Inc. Class B31,299,806$4,475,872,258
Twenty-First Century Fox Inc. Class A31,011,072$1,041,972,019
Kinder Morgan Inc./DE30,164,406$1,251,521,205
Bristol-Myers Squibb Co.29,399,577$1,899,212,674
QUALCOMM Inc.29,192,869$2,034,159,112
AbbVie Inc.28,919,406$1,925,743,246
Wal-Mart Stores Inc.28,529,078$2,118,854,623
Mondelez International Inc. Class A27,728,229$1,153,217,044
Philip Morris International Inc.27,373,640$2,273,928,275
Walt Disney Co.27,071,328$2,987,862,471
Abbott Laboratories26,646,380$1,295,014,068
Gilead Sciences Inc.26,348,754$2,958,174,612
PepsiCo Inc.26,248,135$2,531,107,658
Morgan Stanley25,892,343$989,087,503
Starbucks Corp.25,209,847$1,309,903,650
Medtronic plc25,191,587$1,922,621,920
American International Group Inc.24,306,059$1,424,578,118
General Motors Co.24,229,617$871,539,323
Regions Financial Corp.23,897,971$241,130,527
Boston Scientific Corp.23,511,082$429,547,468
Home Depot Inc.23,323,173$2,598,667,936
3809 Holdings
1-50 of 3809 |   Next>