Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3800 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund2,200,734,041$2,200,734,040
Bank of America Corp.186,031,359$2,963,479,549
General Electric Co.177,642,783$4,810,566,564
Microsoft Corp.130,601,428$6,352,453,458
Pfizer Inc.111,474,441$3,782,327,783
Apple Inc.103,045,989$12,896,205,523
AT&T Inc.91,730,074$3,177,529,763
Wells Fargo & Co.91,160,335$5,022,934,459
Cisco Systems Inc.90,272,656$2,602,560,672
Intel Corp.83,790,261$2,727,372,996
Exxon Mobil Corp.74,238,361$6,486,205,601
Verizon Communications Inc.73,442,833$3,704,456,497
Coca-Cola Co.69,556,257$2,821,201,784
Ford Motor Co.68,651,802$1,084,698,472
JPMorgan Chase & Co.65,938,535$4,171,271,724
Oracle Corp.58,250,447$2,540,884,498
Citigroup Inc.50,977,677$2,718,129,738
Merck & Co. Inc.50,425,344$3,003,333,489
Johnson & Johnson49,191,095$4,879,756,624
Procter & Gamble Co.47,776,742$3,798,728,756
Sirius XM Holdings Inc.44,289,539$174,943,679
Comcast Corp. Class A40,607,248$2,345,474,644
Facebook Inc. Class A37,575,896$2,959,853,328
EMC Corp./MA35,970,666$967,970,622
Altria Group Inc.34,872,527$1,745,369,976
Visa Inc. Class A34,737,108$2,294,385,983
Chevron Corp.33,274,653$3,695,482,962
Hewlett-Packard Co.32,313,198$1,065,366,138
US Bancorp/MN31,598,075$1,354,609,475
Berkshire Hathaway Inc. Class B31,291,857$4,418,723,127
Twenty-First Century Fox Inc. Class A30,956,329$1,054,991,692
Kinder Morgan Inc./DE30,165,945$1,295,627,338
Bristol-Myers Squibb Co.29,392,743$1,873,199,511
QUALCOMM Inc.29,173,356$1,983,788,208
Wal-Mart Stores Inc.28,517,781$2,225,812,807
Mondelez International Inc. Class A27,700,077$1,062,851,954
Philip Morris International Inc.27,359,531$2,283,700,053
Walt Disney Co.27,060,371$2,942,003,535
AbbVie Inc.26,772,436$1,731,105,712
Abbott Laboratories26,644,669$1,236,845,535
Gilead Sciences Inc.26,342,261$2,647,660,653
PepsiCo Inc.26,246,210$2,496,539,495
Morgan Stanley25,856,523$964,706,873
Starbucks Corp.25,193,611$1,249,099,233
Medtronic plc25,167,949$1,873,753,803
American International Group Inc.24,279,713$1,366,705,045
General Motors Co.24,195,491$848,293,914
Regions Financial Corp.23,920,615$235,139,645
Boston Scientific Corp.23,522,818$419,176,617
Home Depot Inc.23,315,075$2,494,246,724
3800 Holdings
1-50 of 3800 |   Next>