Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3783 Holdings
51-100 of 3783 | <Prev  Next>

Holding Shares Market Value
American Express Co.18,029,265$1,471,007,731
ConocoPhillips21,452,179$1,398,682,071
US Bancorp/MN31,205,821$1,392,091,675
Goldman Sachs Group Inc.7,212,717$1,368,901,559
American International Group Inc.24,391,356$1,349,573,727
Actavis plc4,618,550$1,345,660,728
Honeywell International Inc.12,960,918$1,332,123,152
Lowe's Cos. Inc.17,202,998$1,274,570,122
United Parcel Service Inc. Class B12,239,290$1,245,102,972
Abbott Laboratories26,239,585$1,242,969,141
Walgreens Boots Alliance Inc.14,829,353$1,232,022,647
EI du Pont de Nemours & Co.15,788,052$1,229,099,848
Eli Lilly & Co.17,469,359$1,225,824,921
Kinder Morgan Inc./DE29,538,337$1,211,367,200
Allergan Inc./United States5,190,810$1,208,109,119
Starbucks Corp.12,387,898$1,158,082,645
NIKE Inc. Class B11,918,105$1,157,486,358
Time Warner Inc.13,882,321$1,136,406,797
Hewlett-Packard Co.32,529,475$1,133,326,909
Priceline Group Inc.912,043$1,128,634,972
eBay Inc.19,484,936$1,128,372,644
Colgate-Palmolive Co.15,884,199$1,124,918,973
Costco Wholesale Corp.7,625,394$1,120,627,902
Twenty-First Century Fox Inc. Class A31,050,421$1,086,764,735
Express Scripts Holding Co.12,789,881$1,084,454,010
Texas Instruments Inc.18,427,705$1,083,549,054
Ford Motor Co.65,806,545$1,075,278,945
Occidental Petroleum Corp.13,515,995$1,052,625,691
Simon Property Group Inc.5,473,160$1,041,870,738
Mondelez International Inc. Class A27,807,188$1,027,058,489
EMC Corp./MA35,465,748$1,026,378,747
Monsanto Co.8,435,668$1,015,907,497
Dow Chemical Co.20,532,516$1,011,021,088
Accenture plc Class A10,936,221$984,587,977
Duke Energy Corp.12,320,783$967,797,505
Lockheed Martin Corp.4,678,660$935,965,933
McKesson Corp.4,040,426$924,045,426
Morgan Stanley25,582,235$915,588,191
Danaher Corp.10,415,896$909,099,403
Thermo Fisher Scientific Inc.6,969,704$906,061,520
Caterpillar Inc.10,546,757$874,326,155
EOG Resources Inc.9,549,361$856,768,669
Target Corp.11,100,289$852,835,204
PNC Financial Services Group Inc.9,174,689$843,704,400
General Motors Co.22,392,498$835,464,100
FedEx Corp.4,689,918$830,021,688
MetLife Inc.15,824,317$804,350,033
TJX Cos. Inc.11,472,914$787,500,817
NextEra Energy Inc.7,598,933$786,185,608
DIRECTV8,751,725$775,402,835
3783 Holdings
51-100 of 3783 | <Prev  Next>