Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3654 Holdings
51-100 of 3654 | <Prev  Next>

Holding Shares Market Value
Starbucks Corp.27,233,485$1,531,338,862
United Technologies Corp.14,617,677$1,525,646,948
QUALCOMM Inc.29,031,406$1,466,666,631
Eli Lilly & Co.19,340,218$1,460,766,666
Union Pacific Corp.16,439,416$1,434,010,258
United Parcel Service Inc. Class B13,379,444$1,405,778,181
Accenture plc Class A12,206,922$1,378,405,632
US Bancorp32,100,572$1,370,373,419
Lowe's Cos. Inc.17,764,701$1,350,472,570
Walgreens Boots Alliance Inc.16,758,417$1,328,607,300
Priceline Group Inc.963,674$1,294,850,207
Costco Wholesale Corp.8,533,265$1,264,032,544
Mondelez International Inc. Class A28,960,995$1,244,164,345
Colgate-Palmolive Co.17,328,165$1,228,913,462
Goldman Sachs Group Inc.7,395,941$1,213,747,878
Simon Property Group Inc.6,031,278$1,213,312,195
American International Group Inc.21,210,302$1,183,959,058
Lockheed Martin Corp.5,043,022$1,171,897,452
Biogen Inc.4,246,898$1,167,854,481
Time Warner Cable Inc.5,497,959$1,166,172,083
ConocoPhillips24,013,517$1,147,605,977
Dow Chemical Co.21,693,547$1,141,297,508
Occidental Petroleum Corp.14,836,570$1,137,223,091
EI du Pont de Nemours & Co.16,929,757$1,115,840,284
Texas Instruments Inc.19,553,988$1,115,359,476
Thermo Fisher Scientific Inc.7,727,246$1,114,655,236
Abbott Laboratories28,619,513$1,113,299,056
Broadcom Ltd.7,594,677$1,106,924,173
Time Warner Inc.14,576,673$1,095,291,209
Danaher Corp.11,303,113$1,093,576,183
NextEra Energy Inc.8,964,646$1,054,063,077
Duke Energy Corp.13,373,327$1,053,550,701
American Express Co.15,906,903$1,040,788,663
Ford Motor Co.75,867,012$1,028,756,683
Chubb Ltd.8,526,304$1,004,910,189
EMC Corp./MA37,675,085$983,696,469
Express Scripts Holding Co.12,958,044$955,396,584
Target Corp.11,956,751$950,561,705
TJX Cos. Inc.12,349,312$936,324,836
salesforce.com Inc.12,261,511$929,422,534
Kraft Heinz Co.11,799,243$921,166,901
Southern Co.17,657,500$884,640,750
PayPal Holdings Inc.22,564,036$884,058,930
EOG Resources Inc.10,682,979$882,627,725
Caterpillar Inc.11,314,627$879,372,810
Kimberly-Clark Corp.7,005,846$877,061,861
Adobe Systems Inc.9,211,478$867,905,457
American Tower Corporation8,244,964$864,731,824
PNC Financial Services Group Inc.9,835,969$863,401,359
General Motors Co.26,990,972$858,312,910
3654 Holdings
51-100 of 3654 | <Prev  Next>