Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3584 Holdings
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Holding Shares Market Value
Apple Inc.110,825,949$18,175,455,636
Microsoft Corp.182,334,517$13,633,151,836
Facebook Inc. Class A55,839,680$9,602,749,770
Amazon.com Inc.9,593,828$9,407,707,737
Johnson & Johnson63,630,005$8,422,703,762
Berkshire Hathaway Inc. Class B44,373,011$8,038,614,673
Exxon Mobil Corp.100,078,137$7,638,964,197
JPMorgan Chase & Co.83,918,138$7,627,319,563
Alphabet Inc. Class A7,004,237$6,690,727,352
Alphabet Inc. Class C6,987,997$6,564,035,222
Bank of America Corp.235,047,539$5,615,285,707
Procter & Gamble Co.60,427,140$5,575,612,208
AT&T Inc.145,181,192$5,438,487,452
Wells Fargo & Co.106,227,009$5,425,013,350
General Electric Co.205,063,503$5,034,308,999
Chevron Corp.44,747,013$4,815,673,539
Pfizer Inc.140,943,084$4,780,789,409
Verizon Communications Inc.96,340,869$4,621,471,486
Comcast Corp. Class A111,778,442$4,539,322,530
UnitedHealth Group Inc.22,761,069$4,527,176,624
Visa Inc. Class A43,609,171$4,514,421,382
Citigroup Inc.65,032,644$4,424,170,771
Philip Morris International Inc.36,685,873$4,289,679,130
Home Depot Inc.28,235,538$4,231,660,080
Coca-Cola Co.90,839,982$4,137,761,180
Merck & Co. Inc.64,600,893$4,125,413,027
PepsiCo Inc.33,764,421$3,907,556,442
Intel Corp.111,221,349$3,900,532,709
Cisco Systems Inc.118,069,617$3,803,022,364
Oracle Corp.72,868,061$3,667,449,510
Walt Disney Co.35,104,478$3,552,573,174
Boeing Co.13,541,386$3,245,328,569
Amgen Inc.17,364,160$3,086,826,723
McDonald's Corp.19,252,406$3,079,807,388
International Business Machines Corp.21,078,716$3,014,888,749
Mastercard Inc. Class A22,408,873$2,987,102,771
Altria Group Inc.45,639,719$2,893,558,185
3M Co.14,112,622$2,883,490,927
AbbVie Inc.37,579,881$2,829,765,039
Wal-Mart Stores Inc.35,811,144$2,795,776,012
Market Liquidity Fund27,265,454$2,727,090,721
Medtronic plc32,338,954$2,607,166,471
Gilead Sciences Inc.30,852,822$2,582,689,730
Celgene Corp.18,433,287$2,560,936,563
Honeywell International Inc.18,013,285$2,490,696,917
Broadcom Ltd.9,479,160$2,389,411,861
Bristol-Myers Squibb Co.38,905,718$2,353,017,825
NVIDIA Corp.13,348,423$2,261,756,793
Vanguard Market Liquidity Fund21,727,022$2,173,136,763
Priceline Group Inc.1,159,560$2,147,597,885
3584 Holdings
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