Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3587 Holdings
51-100 of 3587 | <Prev  Next>

Holding Shares Market Value
United Technologies Corp.16,623,150$2,029,852,847
Union Pacific Corp.18,602,489$2,025,997,077
Abbott Laboratories39,971,491$1,943,014,178
US Bancorp36,988,281$1,920,431,550
CVS Health Corp.23,456,997$1,887,349,979
NVIDIA Corp.13,019,830$1,882,146,625
Eli Lilly & Co.22,866,736$1,881,932,373
Allergan plc7,732,756$1,879,755,656
QUALCOMM Inc.34,018,732$1,878,514,381
Starbucks Corp.31,683,157$1,847,444,885
Goldman Sachs Group Inc.8,152,102$1,808,951,434
NIKE Inc. Class B30,387,385$1,792,855,715
Dow Chemical Co.28,110,619$1,772,936,740
Accenture plc Class A14,302,720$1,768,960,410
Texas Instruments Inc.22,968,668$1,766,979,629
United Parcel Service Inc. Class B15,865,175$1,754,529,703
Time Warner Inc.16,920,837$1,699,021,243
Walgreens Boots Alliance Inc.21,148,426$1,656,133,240
Costco Wholesale Corp.10,103,315$1,615,823,168
EI du Pont de Nemours & Co.19,964,585$1,611,341,655
Adobe Systems Inc.11,369,884$1,608,156,393
Lockheed Martin Corp.5,674,337$1,575,252,695
Thermo Fisher Scientific Inc.9,028,704$1,575,237,987
Charter Communications Inc. Class A4,614,719$1,554,468,095
Lowe's Cos. Inc.19,720,478$1,528,928,659
NextEra Energy Inc.10,800,289$1,513,444,498
Colgate-Palmolive Co.20,335,163$1,507,445,633
Chubb Ltd.10,219,631$1,485,729,955
American Express Co.17,604,110$1,482,970,226
Caterpillar Inc.13,555,874$1,456,714,220
Mondelez International Inc. Class A33,178,575$1,432,982,654
Morgan Stanley32,131,571$1,431,782,804
PayPal Holdings Inc.26,314,331$1,412,290,145
Netflix Inc.9,424,638$1,408,135,164
PNC Financial Services Group Inc.11,174,563$1,395,367,682
Duke Energy Corp.16,122,704$1,347,696,827
salesforce.com Inc.15,549,243$1,346,564,444
Biogen Inc.4,891,271$1,327,295,299
American International Group Inc.21,184,034$1,324,425,806
American Tower Corporation9,794,579$1,296,018,693
Reynolds American Inc.19,725,963$1,282,976,634
ConocoPhillips28,473,897$1,251,712,512
Danaher Corp.14,383,505$1,213,823,987
FedEx Corp.5,535,686$1,203,070,638
EOG Resources Inc.13,288,681$1,202,891,404
Kraft Heinz Co.14,004,845$1,199,374,926
Monsanto Co.10,101,139$1,195,570,812
Charles Schwab Corp.27,711,528$1,190,487,243
General Dynamics Corp.5,923,978$1,173,540,042
Bank of New York Mellon Corp.22,969,347$1,171,896,084
3587 Holdings
51-100 of 3587 | <Prev  Next>