Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3800 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund1,942,500,945$1,942,500,944
Bank of America Corp.186,134,281$3,168,005,463
General Electric Co.178,678,987$4,747,500,685
Microsoft Corp.129,253,726$5,706,552,003
Pfizer Inc.109,481,204$3,670,904,770
Apple Inc.102,240,800$12,823,552,340
AT&T Inc.92,003,255$3,267,955,618
Cisco Systems Inc.90,320,695$2,480,206,285
Intel Corp.84,143,939$2,559,237,905
Wells Fargo & Co.82,323,503$4,629,873,809
Exxon Mobil Corp.74,216,580$6,174,819,456
Verizon Communications Inc.72,561,096$3,382,072,685
Coca-Cola Co.69,554,512$2,728,623,506
Ford Motor Co.68,996,006$1,035,630,050
JPMorgan Chase & Co.65,965,713$4,469,836,713
Oracle Corp.58,221,837$2,346,340,031
Citigroup Inc.51,032,780$2,819,050,767
Merck & Co. Inc.50,224,643$2,859,288,926
Johnson & Johnson49,191,334$4,794,187,412
Procter & Gamble Co.48,005,718$3,755,967,376
Sirius XM Holdings Inc.40,486,457$151,014,485
Comcast Corp. Class A39,329,679$2,365,286,895
Facebook Inc. Class A37,875,005$3,248,349,804
Altria Group Inc.34,863,996$1,705,198,044
Visa Inc. Class A34,750,545$2,333,499,097
EMC Corp./MA34,707,792$915,938,631
Chevron Corp.33,311,762$3,213,585,680
Hewlett-Packard Co.32,325,813$970,097,648
Berkshire Hathaway Inc. Class B31,317,445$4,262,617,439
Kinder Morgan Inc./DE30,576,042$1,173,814,252
US Bancorp/MN30,287,711$1,314,486,657
Twenty-First Century Fox Inc. Class A29,946,694$974,615,156
Bristol-Myers Squibb Co.29,570,950$1,967,651,013
AbbVie Inc.29,002,502$1,948,678,109
QUALCOMM Inc.28,968,842$1,814,318,574
Mondelez International Inc. Class A27,531,503$1,132,646,033
Philip Morris International Inc.27,481,791$2,203,215,184
Walt Disney Co.27,063,328$3,089,008,258
Abbott Laboratories26,637,982$1,307,392,157
PepsiCo Inc.26,240,276$2,449,267,362
Gilead Sciences Inc.26,086,302$3,054,184,238
Morgan Stanley25,984,997$1,007,958,034
Wal-Mart Stores Inc.25,908,861$1,837,715,511
General Motors Co.25,589,952$852,913,100
Medtronic plc25,248,192$1,870,891,027
Starbucks Corp.25,240,586$1,353,274,018
Regions Financial Corp.23,890,127$247,501,716
Boston Scientific Corp.23,803,891$421,328,871
American International Group Inc.23,679,449$1,463,863,537
Home Depot Inc.23,080,394$2,564,924,185
3800 Holdings
1-50 of 3800 |   Next>