Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3574 Holdings
51-100 of 3574 | <Prev  Next>

Holding Shares Market Value
Abbott Laboratories41,424,748$2,246,464,084
Priceline Group Inc.1,168,265$2,233,675,949
Union Pacific Corp.19,081,012$2,209,390,379
Schlumberger Ltd.32,996,208$2,111,757,312
Accenture plc Class A14,743,273$2,098,852,344
US Bancorp37,950,632$2,063,755,368
Adobe Systems Inc.11,769,515$2,061,548,247
United Technologies Corp.17,134,724$2,052,054,546
Goldman Sachs Group Inc.8,296,048$2,011,625,719
PayPal Holdings Inc.27,231,912$1,975,947,535
Eli Lilly & Co.23,628,402$1,936,111,260
United Parcel Service Inc. Class B16,426,702$1,930,630,286
Netflix Inc.9,775,475$1,920,196,554
Caterpillar Inc.14,082,699$1,912,430,524
Celgene Corp.18,660,945$1,884,195,617
Thermo Fisher Scientific Inc.9,543,589$1,849,833,856
Lockheed Martin Corp.5,845,103$1,801,226,940
QUALCOMM Inc.35,187,347$1,794,906,570
Starbucks Corp.32,685,873$1,792,493,275
NextEra Energy Inc.11,209,134$1,738,200,409
Time Warner Inc.17,639,514$1,733,787,831
NIKE Inc. Class B31,289,391$1,720,603,611
American Express Co.17,941,523$1,713,774,277
Costco Wholesale Corp.10,452,926$1,683,757,320
CVS Health Corp.24,239,689$1,661,145,887
salesforce.com Inc.16,136,924$1,651,452,802
Morgan Stanley32,823,158$1,641,157,900
Lowe's Cos. Inc.20,123,170$1,608,847,442
Chubb Ltd.10,550,557$1,591,235,007
Biogen Inc.5,040,726$1,570,992,665
PNC Financial Services Group Inc.11,434,390$1,564,110,208
Charter Communications Inc. Class A4,609,891$1,540,487,275
ConocoPhillips29,004,029$1,483,556,083
Colgate-Palmolive Co.21,005,615$1,479,845,577
Duke Energy Corp.16,681,824$1,473,171,877
American Tower Corp.10,232,310$1,470,075,978
Walgreens Boots Alliance Inc.21,681,134$1,436,808,750
Applied Materials Inc.25,419,768$1,434,437,508
Mondelez International Inc. Class A34,127,062$1,413,884,179
Allergan plc7,968,928$1,412,333,109
American International Group Inc.21,514,415$1,390,046,353
Danaher Corp.14,903,324$1,375,129,705
EOG Resources Inc.13,763,172$1,374,527,988
Aetna Inc.7,912,858$1,345,423,246
Anthem Inc.6,256,883$1,309,002,492
FedEx Corp.5,753,259$1,299,143,415
Charles Schwab Corp.28,715,539$1,287,604,769
Monsanto Co.10,492,741$1,270,670,935
General Motors Co.29,531,832$1,269,278,139
BlackRock Inc.2,685,942$1,264,622,072
3574 Holdings
51-100 of 3574 | <Prev  Next>