Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3576 Holdings
51-100 of 3576 | <Prev  Next>

Holding Shares Market Value
US Bancorp34,462,772$1,770,352,598
United Technologies Corp.15,702,725$1,721,332,715
Allergan plc7,961,224$1,671,936,652
United Parcel Service Inc. Class B14,577,924$1,671,213,207
Vanguard Market Liquidity Fund16,599,172$1,660,083,168
Market Liquidity Fund16,361,978$1,636,361,440
Starbucks Corp.29,301,800$1,626,835,936
Walgreens Boots Alliance Inc.19,495,680$1,613,462,477
Texas Instruments Inc.21,227,731$1,548,987,531
Eli Lilly & Co.21,046,019$1,547,934,697
Accenture plc Class A13,153,758$1,540,699,675
Priceline Group Inc.1,046,652$1,534,454,631
Time Warner Inc.15,530,657$1,499,174,320
Costco Wholesale Corp.9,269,270$1,484,102,820
NIKE Inc. Class B28,314,543$1,439,228,221
American International Group Inc.21,679,713$1,415,902,056
Broadcom Ltd.7,996,975$1,413,625,271
Mondelez International Inc. Class A31,140,671$1,380,465,945
Dow Chemical Co.23,772,758$1,360,277,213
EI du Pont de Nemours & Co.18,469,469$1,355,659,025
Lowe's Cos. Inc.18,540,088$1,318,571,059
Lockheed Martin Corp.5,271,465$1,317,549,962
ConocoPhillips26,248,049$1,316,077,177
Biogen Inc.4,620,409$1,310,255,584
Morgan Stanley29,800,018$1,259,050,761
Charter Communications Inc. Class A4,303,031$1,238,928,686
Colgate-Palmolive Co.18,900,163$1,236,826,667
Chubb Ltd.9,355,851$1,236,095,034
EOG Resources Inc.12,212,402$1,234,673,842
American Express Co.16,496,910$1,222,091,093
PNC Financial Services Group Inc.10,378,104$1,213,823,044
NextEra Energy Inc.10,151,300$1,212,674,298
Abbott Laboratories31,181,236$1,197,671,275
Simon Property Group Inc.6,656,048$1,182,580,048
Thermo Fisher Scientific Inc.8,361,155$1,179,758,971
NVIDIA Corp.10,851,556$1,158,295,087
Occidental Petroleum Corp.16,181,173$1,152,584,953
Caterpillar Inc.12,373,665$1,147,533,692
Duke Energy Corp.14,559,005$1,130,069,968
Kraft Heinz Co.12,887,717$1,125,355,448
Adobe Systems Inc.10,544,515$1,085,557,819
Netflix Inc.8,636,517$1,069,200,805
Danaher Corp.13,172,970$1,025,383,985
Southern Co.20,710,219$1,018,735,673
Dominion Resources Inc./VA13,278,827$1,017,025,360
Reynolds American Inc.18,136,060$1,016,344,802
Bank of New York Mellon Corp.21,324,482$1,010,353,957
MetLife Inc.18,617,438$1,003,293,734
Ford Motor Co.82,605,613$1,002,006,086
Charles Schwab Corp.25,193,362$994,381,998
3576 Holdings
51-100 of 3576 | <Prev  Next>