Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3575 Holdings
51-100 of 3575 | <Prev  Next>

Holding Shares Market Value
Bristol-Myers Squibb Co.36,144,382$1,776,857,819
Allergan plc8,114,032$1,776,080,464
Goldman Sachs Group Inc.7,737,523$1,774,368,774
United Technologies Corp.16,028,596$1,757,856,123
QUALCOMM Inc.31,940,377$1,706,574,343
Priceline Group Inc.1,066,388$1,679,699,730
Eli Lilly & Co.21,495,120$1,655,769,094
Starbucks Corp.29,910,174$1,651,639,808
Texas Instruments Inc.21,603,630$1,631,938,210
Walgreens Boots Alliance Inc.19,915,915$1,631,910,075
Broadcom Ltd.8,165,458$1,629,008,871
United Parcel Service Inc. Class B14,908,614$1,626,977,046
Abbott Laboratories37,229,263$1,555,066,316
Costco Wholesale Corp.9,450,216$1,549,362,913
Time Warner Inc.15,841,666$1,534,265,352
NIKE Inc. Class B28,897,884$1,528,698,064
Accenture plc Class A13,414,960$1,527,561,495
Dow Chemical Co.24,260,834$1,446,673,531
American International Group Inc.22,209,159$1,427,160,557
Charter Communications Inc. Class A4,390,683$1,422,361,758
EI du Pont de Nemours & Co.18,811,689$1,420,282,520
Mondelez International Inc. Class A31,737,529$1,405,337,784
Lowe's Cos. Inc.18,914,647$1,382,282,403
Lockheed Martin Corp.5,385,527$1,353,544,501
ConocoPhillips26,800,471$1,306,790,966
Biogen Inc.4,706,147$1,304,732,194
Thermo Fisher Scientific Inc.8,544,124$1,302,039,056
Morgan Stanley30,360,252$1,290,007,107
American Express Co.16,826,354$1,285,196,919
NextEra Energy Inc.10,366,028$1,282,484,984
PNC Financial Services Group Inc.10,525,510$1,267,902,935
EOG Resources Inc.12,466,086$1,266,305,016
Chubb Ltd.9,559,723$1,257,007,977
Simon Property Group Inc.6,792,835$1,248,319,288
Colgate-Palmolive Co.19,243,081$1,242,718,171
Netflix Inc.8,815,566$1,240,438,292
Adobe Systems Inc.10,750,324$1,218,871,735
Caterpillar Inc.12,647,226$1,209,833,639
NVIDIA Corp.11,073,300$1,208,982,894
Kraft Heinz Co.13,170,660$1,176,008,231
Duke Energy Corp.14,889,972$1,169,458,401
salesforce.com Inc.14,314,264$1,132,258,282
Danaher Corp.13,458,636$1,129,448,733
Occidental Petroleum Corp.16,528,200$1,120,116,114
Reynolds American Inc.18,497,749$1,112,269,647
Charles Schwab Corp.25,783,616$1,063,316,324
Southern Co.21,174,676$1,046,664,235
Ford Motor Co.84,404,600$1,043,240,856
MetLife Inc.19,016,614$1,034,693,968
Dominion Resources Inc./VA13,548,572$1,033,485,072
3575 Holdings
51-100 of 3575 | <Prev  Next>