Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3644 Holdings
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Holding Shares Market Value
United Technologies Corp.14,798,142$1,488,397,122
Accenture plc Class A12,341,992$1,468,326,788
Eli Lilly & Co.19,569,033$1,468,264,546
NIKE Inc. Class B26,532,971$1,465,150,659
Vanguard Market Liquidity Fund1,448,038,049$1,448,038,049
Lowe's Cos. Inc.17,985,790$1,441,201,353
Union Pacific Corp.16,639,977$1,400,919,664
United Parcel Service Inc. Class B13,582,009$1,400,169,308
US Bancorp32,485,164$1,391,014,722
Walgreens Boots Alliance Inc.16,959,864$1,312,693,474
Mondelez International Inc. Class A29,291,109$1,303,161,439
Costco Wholesale Corp.8,639,274$1,285,264,793
Biogen Inc.4,297,854$1,245,217,239
American International Group Inc.21,471,040$1,242,743,795
Colgate-Palmolive Co.17,552,478$1,235,869,976
Priceline Group Inc.974,726$1,232,375,324
Lockheed Martin Corp.5,109,295$1,206,968,758
Simon Property Group Inc.6,083,686$1,202,379,701
Texas Instruments Inc.19,763,395$1,197,661,737
Goldman Sachs Group Inc.7,458,715$1,189,515,868
Broadcom Ltd.7,681,061$1,185,648,576
Thermo Fisher Scientific Inc.7,792,996$1,182,743,003
Abbott Laboratories28,953,336$1,147,420,706
Occidental Petroleum Corp.15,011,291$1,132,451,793
Danaher Corp.11,493,330$1,130,483,939
Dow Chemical Co.21,953,842$1,127,549,325
EI du Pont de Nemours & Co.17,132,983$1,120,668,418
Time Warner Inc.14,753,100$1,116,219,546
Chubb Ltd.8,613,364$1,090,538,016
NextEra Energy Inc.9,061,165$1,088,427,140
EMC Corp./MA38,128,588$1,065,694,035
ConocoPhillips24,292,012$1,063,747,205
American Express Co.16,107,880$1,059,254,189
Duke Energy Corp.13,534,880$1,058,833,662
salesforce.com Inc.12,395,162$1,037,599,011
Ford Motor Co.76,554,382$1,032,718,613
Kraft Heinz Co.11,927,717$992,266,777
Express Scripts Holding Co.13,129,081$991,902,070
Monsanto Co.8,654,422$973,362,842
TJX Cos. Inc.12,503,468$951,763,984
Adobe Systems Inc.9,299,704$925,041,557
Kimberly-Clark Corp.7,089,559$900,657,575
PNC Financial Services Group Inc.10,028,281$899,937,937
Southern Co.17,851,689$882,587,504
American Tower Corporation8,334,537$881,627,324
EOG Resources Inc.10,807,099$879,265,575
Charter Communications Inc. Class A3,963,346$867,734,973
PayPal Holdings Inc.22,823,592$862,503,542
Bank of New York Mellon Corp.20,434,545$859,476,963
General Motors Co.27,294,695$853,778,060
3644 Holdings
51-100 of 3644 | <Prev  Next>