Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3800 Holdings
51-100 of 3800 | <Prev  Next>

Holding Shares Market Value
Boeing Co.11,054,902$1,533,536,005
Union Pacific Corp.15,566,001$1,484,529,515
Eli Lilly & Co.17,708,900$1,478,516,061
American International Group Inc.23,679,449$1,463,863,537
Goldman Sachs Group Inc.6,901,238$1,440,909,482
Starbucks Corp.25,240,586$1,353,274,018
Honeywell International Inc.13,157,189$1,341,638,562
ConocoPhillips21,832,958$1,340,761,951
US Bancorp/MN30,287,711$1,314,486,657
NIKE Inc. Class B12,155,330$1,313,018,747
Walgreens Boots Alliance Inc.15,484,383$1,307,501,301
Abbott Laboratories26,637,982$1,307,392,157
Time Warner Inc.13,967,600$1,220,907,916
United Parcel Service Inc. Class B12,472,815$1,208,740,502
American Express Co.15,341,672$1,192,354,748
Kinder Morgan Inc./DE30,576,042$1,173,814,252
eBay Inc.19,369,378$1,166,811,331
Express Scripts Holding Co.12,921,185$1,149,210,194
Lowe's Cos. Inc.16,935,275$1,134,155,367
Mondelez International Inc. Class A27,531,503$1,132,646,033
Accenture plc Class A11,112,078$1,075,426,909
Occidental Petroleum Corp.13,639,745$1,060,762,969
Priceline Group Inc.918,288$1,057,289,255
Costco Wholesale Corp.7,791,477$1,052,316,884
Colgate-Palmolive Co.16,037,089$1,048,985,991
Dow Chemical Co.20,484,918$1,048,213,254
Ford Motor Co.68,996,006$1,035,630,050
EI du Pont de Nemours & Co.16,048,243$1,026,285,140
Morgan Stanley25,984,997$1,007,958,034
Twenty-First Century Fox Inc. Class A29,946,694$974,615,156
Hewlett-Packard Co.32,325,813$970,097,648
Texas Instruments Inc.18,551,143$955,569,376
Simon Property Group Inc.5,515,222$954,243,710
McKesson Corp.4,121,683$926,595,555
Target Corp.11,274,127$920,306,987
EMC Corp./MA34,707,792$915,938,631
Thermo Fisher Scientific Inc.7,029,407$912,135,852
Danaher Corp.10,635,587$910,299,891
Caterpillar Inc.10,730,448$910,156,599
Monsanto Co.8,509,093$906,984,223
Kraft Foods Group Inc.10,499,667$893,941,648
Time Warner Cable Inc.5,005,533$891,835,815
PNC Financial Services Group Inc.9,292,888$888,864,737
Duke Energy Corp.12,515,470$883,842,491
Lockheed Martin Corp.4,752,773$883,540,501
MetLife Inc.15,694,877$878,756,163
Capital One Financial Corp.9,745,401$857,302,926
General Motors Co.25,589,952$852,913,100
EOG Resources Inc.9,728,107$851,695,768
FedEx Corp.4,763,924$811,772,650
3800 Holdings
51-100 of 3800 | <Prev  Next>