Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3792 Holdings
51-100 of 3792 | <Prev  Next>

Holding Shares Market Value
MasterCard Inc. Class A17,261,370$1,415,950,181
ConocoPhillips21,207,861$1,335,671,086
US Bancorp/MN30,880,294$1,294,193,122
Honeywell International Inc.12,816,094$1,252,901,349
Eli Lilly & Co.17,263,167$1,242,948,024
Goldman Sachs Group Inc.7,126,418$1,228,665,727
Actavis plc4,566,835$1,217,244,201
Kinder Morgan Inc./DE29,201,370$1,198,716,239
United Parcel Service Inc. Class B12,100,140$1,195,977,838
American International Group Inc.24,119,583$1,178,724,021
Hewlett-Packard Co.32,159,412$1,161,919,556
Abbott Laboratories25,952,041$1,161,613,355
Lowe's Cos. Inc.17,006,757$1,152,377,854
Allergan Inc./United States5,132,336$1,125,315,991
EI du Pont de Nemours & Co.15,614,464$1,111,905,981
NIKE Inc. Class B11,782,726$1,086,956,474
Walgreens Boots Alliance Inc.14,660,270$1,081,194,913
Costco Wholesale Corp.7,540,772$1,078,254,988
Simon Property Group Inc.5,418,179$1,076,375,440
Starbucks Corp.12,248,564$1,072,116,807
Time Warner Inc.13,725,226$1,069,606,862
Occidental Petroleum Corp.13,360,293$1,068,823,440
Duke Energy Corp.12,181,138$1,061,464,365
Colgate-Palmolive Co.15,703,429$1,060,295,526
eBay Inc.19,265,852$1,021,090,156
Express Scripts Holding Co.12,644,447$1,020,533,317
Twenty-First Century Fox Inc. Class A30,713,097$1,018,446,297
Monsanto Co.8,341,036$984,075,427
Texas Instruments Inc.18,213,232$973,497,250
Mondelez International Inc. Class A27,492,118$968,822,238
Ford Motor Co.65,078,307$957,301,896
Dow Chemical Co.20,310,356$917,215,677
Priceline Group Inc.901,983$910,533,799
EMC Corp./MA35,065,733$909,254,457
Accenture plc Class A10,813,891$908,691,261
Lockheed Martin Corp.4,628,222$871,818,178
Thermo Fisher Scientific Inc.6,892,366$862,993,147
Morgan Stanley25,285,404$854,899,509
McKesson Corp.3,995,714$849,688,582
Danaher Corp.10,294,842$848,089,084
EOG Resources Inc.9,442,014$840,622,506
Caterpillar Inc.10,430,833$834,153,715
NextEra Energy Inc.7,515,286$820,969,843
Target Corp.10,973,784$807,780,240
Southern Co.15,492,263$785,767,579
FedEx Corp.4,635,820$783,963,520
Dominion Resources Inc./VA10,062,385$773,696,783
PNC Financial Services Group Inc.9,078,499$767,496,305
TJX Cos. Inc.11,342,334$747,913,504
DIRECTV8,651,026$737,759,497
3792 Holdings
51-100 of 3792 | <Prev  Next>