Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3587 Holdings
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Holding Shares Market Value
Apple Inc.108,093,912$15,567,685,206
Microsoft Corp.177,774,267$12,253,980,224
Amazon.com Inc.9,355,374$9,056,002,032
Facebook Inc. Class A54,439,512$8,219,277,522
Johnson & Johnson62,059,387$8,209,836,306
Exxon Mobil Corp.97,608,070$7,879,899,491
JPMorgan Chase & Co.81,849,498$7,481,044,117
Berkshire Hathaway Inc. Class B43,189,943$7,315,080,646
Alphabet Inc. Class A6,900,772$6,415,509,713
Alphabet Inc. Class C6,740,405$6,125,208,236
Wells Fargo & Co.103,615,142$5,741,315,018
Bank of America Corp.229,168,479$5,559,627,301
General Electric Co.200,001,087$5,402,029,360
AT&T Inc.141,546,385$5,340,545,106
Procter & Gamble Co.58,939,340$5,136,563,481
Pfizer Inc.137,428,989$4,616,239,741
Chevron Corp.43,636,886$4,552,636,316
Citigroup Inc.63,394,487$4,239,823,291
Comcast Corp. Class A108,903,675$4,238,531,031
Home Depot Inc.27,528,391$4,222,855,179
Philip Morris International Inc.35,780,975$4,202,475,514
Verizon Communications Inc.93,920,728$4,194,499,712
UnitedHealth Group Inc.22,193,256$4,115,073,528
Merck & Co. Inc.62,996,595$4,037,451,774
Visa Inc. Class A42,493,554$3,985,045,494
Coca-Cola Co.88,612,244$3,974,259,143
PepsiCo Inc.32,956,942$3,806,197,232
Intel Corp.108,442,405$3,658,846,745
Walt Disney Co.34,173,760$3,630,962,000
Cisco Systems Inc.115,073,238$3,601,792,349
Oracle Corp.70,998,449$3,559,862,233
Vanguard Market Liquidity Fund35,168,312$3,517,534,561
Altria Group Inc.44,516,118$3,315,115,307
International Business Machines Corp.20,536,688$3,159,158,715
Market Liquidity Fund29,384,318$2,939,019,489
Amgen Inc.16,927,358$2,915,398,868
McDonald's Corp.18,761,824$2,873,560,964
3M Co.13,773,479$2,867,500,593
Medtronic plc31,568,346$2,801,690,708
Mastercard Inc. Class A21,900,088$2,659,765,688
AbbVie Inc.36,634,667$2,656,379,704
Wal-Mart Stores Inc.34,917,465$2,642,553,751
Boeing Co.13,214,972$2,613,260,713
Honeywell International Inc.17,574,727$2,342,535,362
Celgene Corp.17,968,099$2,333,517,017
Broadcom Ltd.9,246,345$2,154,860,702
Gilead Sciences Inc.30,072,798$2,128,552,642
Bristol-Myers Squibb Co.37,936,672$2,113,831,364
Priceline Group Inc.1,129,489$2,112,731,764
Schlumberger Ltd.32,006,897$2,107,334,098
3587 Holdings
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