Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3557 Holdings
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Holding Shares Market Value
Broadcom Ltd.9,036,838$1,995,424,199
United Technologies Corp.16,358,037$1,946,442,823
CVS Health Corp.23,105,692$1,904,833,248
Starbucks Corp.31,209,141$1,874,421,008
US Bancorp36,338,692$1,863,448,126
Allergan plc7,534,722$1,837,417,307
Eli Lilly & Co.22,362,918$1,835,101,051
Goldman Sachs Group Inc.8,056,693$1,803,087,893
QUALCOMM Inc.33,282,236$1,788,587,363
Walgreens Boots Alliance Inc.20,656,520$1,787,615,241
Texas Instruments Inc.22,545,867$1,785,181,749
Costco Wholesale Corp.9,888,448$1,755,397,289
Dow Chemical Co.27,355,682$1,717,936,830
Accenture plc Class A14,031,725$1,702,048,243
Abbott Laboratories38,954,784$1,699,986,774
United Parcel Service Inc. Class B15,530,786$1,668,938,264
Lowe's Cos. Inc.19,594,747$1,663,202,125
NIKE Inc. Class B29,852,257$1,654,113,560
Time Warner Inc.16,586,905$1,646,582,059
Charter Communications Inc. Class A4,546,218$1,569,172,605
EI du Pont de Nemours & Co.19,493,253$1,554,586,927
Lockheed Martin Corp.5,559,832$1,498,096,732
Adobe Systems Inc.11,163,598$1,493,019,597
Mondelez International Inc. Class A33,022,813$1,487,017,269
Thermo Fisher Scientific Inc.8,901,696$1,471,717,400
Colgate-Palmolive Co.19,897,418$1,433,409,993
NextEra Energy Inc.10,538,329$1,407,499,221
Netflix Inc.9,219,087$1,403,145,041
Morgan Stanley31,606,893$1,370,790,949
Chubb Ltd.9,980,261$1,369,790,822
American Express Co.17,274,959$1,369,040,501
Caterpillar Inc.13,202,508$1,350,088,468
American International Group Inc.22,064,758$1,343,964,410
ConocoPhillips27,834,646$1,333,557,890
Biogen Inc.4,853,359$1,316,279,494
PNC Financial Services Group Inc.10,964,209$1,312,964,028
Duke Energy Corp.15,593,140$1,286,434,050
salesforce.com Inc.14,926,718$1,285,488,954
Reynolds American Inc.19,270,849$1,242,969,761
Kraft Heinz Co.13,715,553$1,239,748,836
PayPal Holdings Inc.25,880,607$1,235,022,566
American Tower Corporation9,593,909$1,208,256,899
NVIDIA Corp.11,535,986$1,203,203,340
EOG Resources Inc.12,988,475$1,201,433,938
Danaher Corp.14,067,159$1,172,216,359
Simon Property Group Inc.7,075,410$1,169,282,257
Monsanto Co.9,888,832$1,153,136,700
General Dynamics Corp.5,795,322$1,123,075,450
Southern Co.22,083,660$1,099,766,268
TJX Cos. Inc.13,960,370$1,097,843,497
3557 Holdings
51-100 of 3557 | <Prev  Next>