Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3635 Holdings
51-100 of 3635 | <Prev  Next>

Holding Shares Market Value
QUALCOMM Inc.29,268,210$1,567,898,010
Eli Lilly & Co.19,752,732$1,555,527,645
Celgene Corp.15,455,081$1,524,334,639
United Parcel Service Inc. Class B13,731,586$1,479,166,444
NIKE Inc. Class B26,503,367$1,462,985,858
Union Pacific Corp.16,733,102$1,459,963,150
Walgreens Boots Alliance Inc.17,216,117$1,433,586,063
Lowe's Cos. Inc.17,846,832$1,412,933,689
Accenture plc Class A12,428,770$1,408,055,353
Costco Wholesale Corp.8,722,790$1,369,826,942
Mondelez International Inc. Class A29,370,162$1,336,636,073
Simon Property Group Inc.6,146,540$1,333,184,526
US Bancorp32,756,285$1,321,060,974
Colgate-Palmolive Co.17,739,376$1,298,522,323
Lockheed Martin Corp.5,141,642$1,276,001,295
Texas Instruments Inc.20,109,825$1,259,880,536
Priceline Group Inc.988,976$1,234,647,528
Danaher Corp.12,193,452$1,231,538,652
Broadcom Ltd.7,802,371$1,212,488,453
NextEra Energy Inc.9,156,605$1,194,021,292
Duke Energy Corp.13,648,487$1,170,903,700
Thermo Fisher Scientific Inc.7,836,968$1,157,990,392
Chubb Ltd.8,804,607$1,150,850,181
Abbott Laboratories29,216,946$1,148,518,147
Occidental Petroleum Corp.15,172,673$1,146,447,172
EI du Pont de Nemours & Co.17,404,443$1,127,807,906
American International Group Inc.21,173,184$1,119,849,702
Dow Chemical Co.22,304,787$1,108,770,962
Goldman Sachs Group Inc.7,455,351$1,107,716,052
Time Warner Inc.14,845,364$1,091,728,069
ConocoPhillips24,593,533$1,072,278,039
Kraft Heinz Co.12,114,795$1,071,917,062
Biogen Inc.4,361,935$1,054,803,122
EMC Corp./MA38,786,710$1,053,834,911
salesforce.com Inc.12,805,375$1,016,874,829
Southern Co.18,587,158$996,829,284
Kimberly-Clark Corp.7,153,941$983,523,809
American Express Co.16,161,990$982,002,512
Ford Motor Co.78,012,117$980,612,311
TJX Cos. Inc.12,520,921$966,990,729
American Tower Corporation8,432,661$958,034,616
Express Scripts Holding Co.12,592,847$954,537,803
Adobe Systems Inc.9,963,216$954,376,461
Dominion Resources Inc./VA12,223,352$952,565,821
Reynolds American Inc.17,021,569$917,973,216
EOG Resources Inc.10,929,428$911,732,884
Charter Communications Inc. Class A3,984,729$911,068,439
Monsanto Co.8,709,451$900,644,328
Caterpillar Inc.11,559,797$876,348,211
Aetna Inc.6,964,123$850,528,342
3635 Holdings
51-100 of 3635 | <Prev  Next>