Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3615 Holdings
51-100 of 3615 | <Prev  Next>

Holding Shares Market Value
United Technologies Corp.16,585,464$1,695,034,421
Celgene Corp.16,148,491$1,650,052,810
Walgreens Boots Alliance Inc.19,172,882$1,586,172,528
United Parcel Service Inc. Class B14,430,529$1,555,033,805
Starbucks Corp.29,051,644$1,541,770,747
Union Pacific Corp.17,361,571$1,530,943,331
Eli Lilly & Co.20,708,691$1,529,129,743
US Bancorp33,966,455$1,520,338,526
Priceline Group Inc.1,029,578$1,517,834,775
Accenture plc Class A12,973,022$1,507,984,077
Texas Instruments Inc.20,918,950$1,482,107,608
NIKE Inc. Class B28,108,996$1,410,509,419
Mondelez International Inc. Class A30,792,832$1,383,829,870
Time Warner Inc.15,396,369$1,370,122,877
Goldman Sachs Group Inc.7,601,982$1,354,977,272
Costco Wholesale Corp.9,132,117$1,350,366,141
Broadcom Ltd.7,830,738$1,333,418,067
Colgate-Palmolive Co.18,621,441$1,328,826,030
American International Group Inc.21,202,932$1,308,220,904
Lockheed Martin Corp.5,200,449$1,281,286,625
Biogen Inc.4,564,998$1,279,021,140
Dow Chemical Co.23,477,597$1,263,329,495
EI du Pont de Nemours & Co.18,222,541$1,253,528,595
NextEra Energy Inc.9,732,546$1,245,765,888
Lowe's Cos. Inc.18,464,632$1,230,667,723
Simon Property Group Inc.6,550,651$1,218,159,060
Thermo Fisher Scientific Inc.8,216,804$1,208,116,692
Abbott Laboratories30,640,497$1,202,333,102
Chubb Ltd.9,214,848$1,170,285,696
Occidental Petroleum Corp.15,919,367$1,160,681,048
Duke Energy Corp.14,347,706$1,148,103,434
Kraft Heinz Co.12,694,091$1,129,139,394
ConocoPhillips25,800,764$1,121,043,196
Adobe Systems Inc.10,384,156$1,116,400,612
American Express Co.16,363,640$1,086,872,969
Netflix Inc.8,485,555$1,059,591,253
Charter Communications Inc. Class A4,232,634$1,057,692,910
Southern Co.20,381,790$1,051,088,910
American Tower Corporation8,871,050$1,039,598,350
EOG Resources Inc.11,471,624$1,037,264,242
Danaher Corp.12,961,601$1,018,133,759
Caterpillar Inc.12,166,370$1,015,405,240
salesforce.com Inc.13,409,236$1,007,838,178
Morgan Stanley29,853,252$1,002,173,670
PayPal Holdings Inc.23,890,403$995,274,189
Reynolds American Inc.17,844,890$982,896,541
Dominion Resources Inc./VA13,057,845$981,949,944
PNC Financial Services Group Inc.10,253,441$980,228,960
TJX Cos. Inc.13,089,047$965,317,216
Ford Motor Co.81,176,955$953,017,452
3615 Holdings
51-100 of 3615 | <Prev  Next>