Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3584 Holdings
51-100 of 3584 | <Prev  Next>

Holding Shares Market Value
Abbott Laboratories40,991,148$2,088,089,079
Schlumberger Ltd.32,819,273$2,084,352,028
United Technologies Corp.17,036,187$2,039,572,308
Union Pacific Corp.19,077,769$2,008,889,076
Texas Instruments Inc.23,537,218$1,949,352,395
US Bancorp37,856,047$1,940,122,409
Dow Chemical Co.28,845,073$1,922,524,115
Accenture plc Class A14,650,143$1,915,652,699
Eli Lilly & Co.23,455,307$1,906,681,906
Charter Communications Inc. Class A4,737,230$1,887,975,644
Goldman Sachs Group Inc.8,367,416$1,872,125,656
United Parcel Service Inc. Class B16,279,726$1,861,749,465
CVS Health Corp.24,067,276$1,861,363,126
QUALCOMM Inc.34,893,581$1,823,887,479
Allergan plc7,930,491$1,819,889,075
Adobe Systems Inc.11,673,829$1,811,311,308
Starbucks Corp.32,482,776$1,782,005,091
Lockheed Martin Corp.5,816,564$1,776,320,480
Walgreens Boots Alliance Inc.21,699,863$1,768,538,835
Time Warner Inc.17,397,522$1,758,889,474
Thermo Fisher Scientific Inc.9,242,776$1,729,693,101
EI du Pont de Nemours & Co.20,485,331$1,719,333,831
Netflix Inc.9,666,472$1,688,829,323
NextEra Energy Inc.11,067,790$1,665,813,073
PayPal Holdings Inc.26,950,860$1,662,329,045
NIKE Inc. Class B31,209,552$1,648,176,441
Caterpillar Inc.13,907,705$1,634,016,260
Costco Wholesale Corp.10,362,331$1,624,191,761
Biogen Inc.5,006,685$1,584,916,204
American Express Co.17,958,626$1,546,237,699
salesforce.com Inc.15,969,514$1,524,928,892
Lowe's Cos. Inc.20,244,502$1,495,866,253
Colgate-Palmolive Co.20,861,802$1,494,539,495
Morgan Stanley32,758,759$1,490,523,535
American Tower Corp.10,040,092$1,486,435,621
Chubb Ltd.10,491,488$1,483,706,233
Duke Energy Corp.16,554,923$1,445,244,778
PNC Financial Services Group Inc.11,432,016$1,433,689,127
Mondelez International Inc. Class A34,031,547$1,383,722,701
American International Group Inc.21,782,834$1,317,425,800
ConocoPhillips29,203,317$1,275,016,820
Raytheon Co.6,876,711$1,251,630,169
Aetna Inc.7,832,652$1,235,209,220
Danaher Corp.14,758,087$1,231,119,618
Anthem Inc.6,256,531$1,226,530,337
Bank of New York Mellon Corp.23,347,870$1,220,626,644
General Dynamics Corp.6,059,371$1,220,054,351
FedEx Corp.5,685,394$1,218,834,766
Monsanto Co.10,375,561$1,216,015,749
BlackRock Inc.2,864,821$1,200,388,647
3584 Holdings
51-100 of 3584 | <Prev  Next>