Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3781 Holdings
51-100 of 3781 | <Prev  Next>

Holding Shares Market Value
AbbVie Inc.26,699,780$1,563,005,121
MasterCard Inc. Class A17,639,699$1,523,893,597
American Express Co.17,968,957$1,403,734,921
US Bancorp/MN31,514,710$1,376,247,386
Goldman Sachs Group Inc.7,299,477$1,372,082,692
Honeywell International Inc.13,107,372$1,367,229,973
ConocoPhillips21,717,225$1,352,114,429
American International Group Inc.24,191,316$1,325,442,204
Walgreens Boots Alliance Inc.15,372,751$1,301,764,555
Eli Lilly & Co.17,631,053$1,280,896,000
Lowe's Cos. Inc.17,137,006$1,274,821,876
Kinder Morgan Inc./DE30,056,167$1,264,162,384
Abbott Laboratories26,552,847$1,230,193,402
United Parcel Service Inc. Class B12,542,470$1,215,867,042
NIKE Inc. Class B12,099,304$1,213,923,170
Starbucks Corp.12,555,530$1,189,008,691
Costco Wholesale Corp.7,760,388$1,175,659,980
Time Warner Inc.13,920,435$1,175,441,531
EI du Pont de Nemours & Co.15,967,477$1,141,195,581
Express Scripts Holding Co.12,815,882$1,112,034,081
Colgate-Palmolive Co.16,009,744$1,110,115,649
eBay Inc.19,202,542$1,107,602,623
Ford Motor Co.68,452,366$1,104,821,187
Simon Property Group Inc.5,526,167$1,081,139,312
Priceline Group Inc.915,604$1,065,900,397
Texas Instruments Inc.18,478,767$1,056,708,291
Twenty-First Century Fox Inc. Class A30,861,706$1,044,360,131
Accenture plc Class A11,069,868$1,037,135,933
Hewlett-Packard Co.32,217,718$1,003,904,093
Mondelez International Inc. Class A27,603,928$996,225,762
Occidental Petroleum Corp.13,602,765$993,001,845
Dow Chemical Co.20,404,877$979,025,998
Lockheed Martin Corp.4,728,156$959,626,542
Monsanto Co.8,514,768$958,251,991
Duke Energy Corp.12,459,443$956,636,034
Thermo Fisher Scientific Inc.7,007,664$941,409,582
McKesson Corp.4,104,619$928,464,818
Morgan Stanley25,802,755$920,900,326
Target Corp.11,219,894$920,816,701
EMC Corp./MA35,869,717$916,829,967
General Motors Co.24,119,653$904,486,988
Kraft Foods Group Inc.10,367,048$903,125,387
Danaher Corp.10,569,672$897,365,153
EOG Resources Inc.9,666,170$886,291,127
PNC Financial Services Group Inc.9,256,857$863,109,347
Caterpillar Inc.10,676,928$854,474,548
TJX Cos. Inc.11,612,188$813,433,769
NextEra Energy Inc.7,805,060$812,116,493
FedEx Corp.4,742,756$784,688,980
Bank of New York Mellon Corp.19,113,685$769,134,684
3781 Holdings
51-100 of 3781 | <Prev  Next>