Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3667 Holdings
51-100 of 3667 | <Prev  Next>

Holding Shares Market Value
Celgene Corp.15,059,379$1,507,293,244
QUALCOMM Inc.28,788,687$1,472,253,453
United Technologies Corp.14,487,787$1,450,227,479
United Parcel Service Inc. Class B13,271,560$1,399,751,433
Walgreens Boots Alliance Inc.16,606,353$1,398,919,177
Accenture plc Class A12,079,799$1,394,008,805
Eli Lilly & Co.19,157,391$1,379,523,726
Lowe's Cos. Inc.17,602,023$1,333,353,242
Costco Wholesale Corp.8,456,047$1,332,503,886
Union Pacific Corp.16,316,086$1,297,944,641
US Bancorp31,906,309$1,295,077,082
Simon Property Group Inc.5,973,662$1,240,669,861
Priceline Group Inc.955,655$1,231,801,069
Colgate-Palmolive Co.17,183,263$1,213,997,531
Abbott Laboratories28,467,594$1,190,799,457
Broadcom Ltd.7,528,782$1,163,196,819
Mondelez International Inc. Class A28,761,334$1,153,904,720
Goldman Sachs Group Inc.7,330,411$1,150,727,919
American International Group Inc.21,069,257$1,138,793,341
Time Warner Cable Inc.5,440,873$1,113,311,433
Texas Instruments Inc.19,378,271$1,112,700,321
Lockheed Martin Corp.5,012,220$1,110,206,730
Biogen Inc.4,214,107$1,097,016,334
Dow Chemical Co.21,514,870$1,094,246,288
Thermo Fisher Scientific Inc.7,664,578$1,085,227,599
Duke Energy Corp.13,258,324$1,069,681,580
Danaher Corp.11,204,326$1,062,842,364
EI du Pont de Nemours & Co.16,782,086$1,062,641,686
NextEra Energy Inc.8,867,907$1,049,428,114
Time Warner Inc.14,435,450$1,047,291,898
Ford Motor Co.75,112,631$1,014,020,519
Occidental Petroleum Corp.14,703,207$1,006,140,455
Chubb Ltd.8,424,288$1,003,753,915
EMC Corp./MA37,384,237$996,289,916
Target Corp.11,845,865$974,677,772
American Express Co.15,757,645$967,519,403
TJX Cos. Inc.12,273,329$961,615,327
ConocoPhillips23,814,032$958,991,069
Kimberly-Clark Corp.6,939,676$933,455,819
Kraft Heinz Co.11,669,404$916,748,378
Southern Co.17,488,257$904,667,535
salesforce.com inc12,133,661$895,828,192
Express Scripts Holding Co.12,873,447$884,277,074
PayPal Holdings Inc.22,365,016$863,289,618
Dominion Resources Inc./VA11,474,090$861,933,641
Caterpillar Inc.11,210,430$858,046,312
Adobe Systems Inc.9,101,293$853,701,283
General Motors Co.26,766,792$841,280,273
American Tower Corporation8,167,659$836,123,252
Reynolds American Inc.16,469,963$828,603,839
3667 Holdings
51-100 of 3667 | <Prev  Next>