Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3743 Holdings
51-100 of 3743 | <Prev  Next>

Holding Shares Market Value
Eli Lilly & Co.18,279,233$1,540,208,173
United Technologies Corp.15,458,459$1,485,094,156
Honeywell International Inc.13,433,615$1,391,319,506
QUALCOMM Inc.27,557,132$1,377,443,243
American International Group Inc.21,554,653$1,335,741,846
US Bancorp30,629,004$1,306,939,601
Costco Wholesale Corp.8,020,055$1,295,238,883
Lowe's Cos. Inc.16,969,243$1,290,341,238
Walgreens Boots Alliance Inc.14,970,245$1,274,791,213
Goldman Sachs Group Inc.7,038,847$1,268,611,395
Biogen Inc.4,086,058$1,251,763,868
Mondelez International Inc. Class A27,712,845$1,242,643,970
United Parcel Service Inc. Class B12,777,393$1,229,568,528
Abbott Laboratories27,366,182$1,229,015,234
Union Pacific Corp.15,655,272$1,224,242,270
Accenture plc Class A11,454,978$1,197,045,201
Priceline Group Inc.912,678$1,163,618,816
Simon Property Group Inc.5,678,931$1,104,211,344
Colgate-Palmolive Co.16,462,788$1,096,750,937
Dow Chemical Co.21,244,888$1,093,686,834
Express Scripts Holding Co.12,401,484$1,084,013,716
EI du Pont de Nemours & Co.16,068,993$1,070,194,934
American Express Co.15,344,266$1,067,193,700
ConocoPhillips22,627,022$1,056,455,657
Lockheed Martin Corp.4,792,721$1,040,739,365
Thermo Fisher Scientific Inc.7,329,041$1,039,624,466
Texas Instruments Inc.18,606,365$1,019,814,866
Ford Motor Co.71,467,623$1,006,978,808
Danaher Corp.10,690,439$992,927,974
Time Warner Cable Inc.5,188,549$962,942,809
Occidental Petroleum Corp.13,992,254$946,016,293
EMC Corp./MA35,567,422$913,371,397
salesforce.com inc11,563,653$906,590,395
Time Warner Inc.13,924,268$900,482,412
Duke Energy Corp.12,603,601$899,771,075
PNC Financial Services Group Inc.9,327,346$888,989,347
NextEra Energy Inc.8,443,693$877,215,266
General Motors Co.25,682,193$873,451,384
Netflix Inc.7,444,052$851,450,668
Morgan Stanley26,624,644$846,929,926
Kimberly-Clark Corp.6,645,576$845,981,825
TJX Cos. Inc.11,747,138$832,989,556
McKesson Corp.4,218,758$832,065,640
Target Corp.11,293,004$819,985,020
Adobe Systems Inc.8,685,075$815,875,946
Kraft Heinz Co.11,123,611$809,353,936
Monsanto Co.8,071,363$795,190,683
Twenty-First Century Fox Inc. Class A29,256,384$794,603,389
MetLife Inc.16,319,273$786,752,151
Bank of New York Mellon Corp.19,048,505$785,179,376
3743 Holdings
51-100 of 3743 | <Prev  Next>