Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3620 Holdings
51-100 of 3620 | <Prev  Next>

Holding Shares Market Value
Eli Lilly & Co.19,926,198$1,651,682,552
Boeing Co.12,148,628$1,623,785,618
Starbucks Corp.27,963,884$1,623,303,466
Union Pacific Corp.16,894,632$1,572,045,508
United Parcel Service Inc. Class B13,902,758$1,502,888,140
NIKE Inc. Class B26,751,091$1,484,685,551
Lowe's Cos. Inc.18,006,236$1,481,553,098
Costco Wholesale Corp.8,810,385$1,473,272,580
Accenture plc Class A12,530,284$1,413,541,338
Simon Property Group Inc.6,219,360$1,412,043,494
Texas Instruments Inc.20,158,119$1,406,028,800
US Bancorp32,968,256$1,390,271,356
Walgreens Boots Alliance Inc.17,340,368$1,374,224,164
Priceline Group Inc.996,158$1,345,620,188
Colgate-Palmolive Co.17,928,380$1,334,409,323
Abbott Laboratories29,503,615$1,320,286,771
Lockheed Martin Corp.5,218,011$1,318,747,920
Mondelez International Inc. Class A29,612,885$1,302,374,682
Biogen Inc.4,391,933$1,273,353,135
Broadcom Ltd.7,834,728$1,269,069,241
Thermo Fisher Scientific Inc.7,915,030$1,257,223,365
EI du Pont de Nemours & Co.17,521,144$1,211,937,530
Dow Chemical Co.22,544,662$1,209,972,010
Goldman Sachs Group Inc.7,496,184$1,190,468,981
NextEra Energy Inc.9,249,434$1,186,609,888
Duke Energy Corp.13,816,012$1,182,512,467
American International Group Inc.21,365,414$1,163,133,138
Time Warner Inc.15,002,755$1,149,961,171
Occidental Petroleum Corp.15,351,598$1,147,224,919
EMC Corp.39,309,472$1,111,671,868
Chubb Ltd.8,841,734$1,107,515,601
salesforce.com Inc.12,912,421$1,056,236,038
Kraft Heinz Co.12,175,889$1,051,875,051
American Express Co.16,201,475$1,044,347,079
TJX Cos. Inc.12,617,119$1,031,070,965
Danaher Corp.12,473,930$1,015,876,859
ConocoPhillips24,862,780$1,014,898,680
Southern Co.18,829,438$1,007,374,933
Ford Motor Co.78,356,377$991,991,733
American Tower Corporation8,545,838$989,351,665
Adobe Systems Inc.10,017,097$980,273,112
Caterpillar Inc.11,727,471$970,565,500
Dominion Resources Inc./VA12,402,205$967,620,034
Express Scripts Holding Co.12,714,012$967,154,893
Charter Communications Inc. Class A4,011,892$942,273,074
Monsanto Co.8,766,294$935,977,210
Kimberly-Clark Corp.7,224,426$935,924,388
EOG Resources Inc.11,036,458$901,678,619
Target Corp.11,820,999$890,475,855
McKesson Corp.4,515,002$878,438,789
3620 Holdings
51-100 of 3620 | <Prev  Next>