Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
Vanguard Market Liquidity Fund23,083,105$2,308,541,377
QUALCOMM Inc.35,533,167$2,274,833,351
Accenture plc Class A14,814,853$2,268,005,846
Caterpillar Inc.14,339,551$2,259,626,447
Gilead Sciences Inc.31,482,378$2,255,397,560
Schlumberger Ltd.33,387,013$2,249,950,806
Market Liquidity Fund22,155,865$2,215,808,036
Goldman Sachs Group Inc.8,183,030$2,084,708,723
Adobe Systems Inc.11,881,467$2,082,108,277
Priceline Group Inc.1,175,358$2,042,466,611
US Bancorp37,988,582$2,035,428,224
PayPal Holdings Inc.27,522,038$2,026,172,438
Eli Lilly & Co.23,879,004$2,016,820,678
Celgene Corp.18,975,558$1,980,289,233
United Parcel Service Inc. Class B16,563,932$1,973,592,498
NIKE Inc. Class B31,390,587$1,963,481,217
Costco Wholesale Corp.10,532,202$1,960,253,436
Netflix Inc.9,908,095$1,901,957,916
Lockheed Martin Corp.5,874,399$1,885,975,799
Starbucks Corp.32,582,996$1,871,241,460
Lowe's Cos. Inc.20,074,723$1,865,744,756
Thermo Fisher Scientific Inc.9,661,106$1,834,450,807
CVS Health Corp.24,425,430$1,770,843,675
NextEra Energy Inc.11,335,995$1,770,569,059
Morgan Stanley32,672,577$1,714,330,115
salesforce.com Inc.16,536,159$1,690,491,535
American Express Co.16,775,218$1,665,946,900
PNC Financial Services Group Inc.11,462,605$1,653,939,275
Time Warner Inc.17,827,942$1,630,721,855
Biogen Inc.5,096,881$1,623,713,380
Colgate-Palmolive Co.21,164,517$1,596,862,808
ConocoPhillips28,814,212$1,581,612,097
Chubb Ltd.10,622,672$1,552,291,059
Charter Communications Inc. Class A4,494,305$1,509,906,708
EOG Resources Inc.13,928,566$1,503,031,557
Walgreens Boots Alliance Inc.20,681,944$1,501,922,773
Charles Schwab Corp.29,077,866$1,493,729,976
American Tower Corp.10,338,098$1,474,936,442
Mondelez International Inc. Class A34,215,437$1,464,420,704
FedEx Corp.5,816,730$1,451,506,804
Duke Energy Corp.16,879,505$1,419,735,166
Aetna Inc.7,859,435$1,417,763,480
Danaher Corp.15,077,564$1,399,499,490
Anthem Inc.6,188,335$1,392,437,258
BlackRock Inc.2,704,161$1,389,154,547
Becton Dickinson and Co.6,420,853$1,374,447,793
Occidental Petroleum Corp.18,442,832$1,358,499,005
Applied Materials Inc.25,705,993$1,314,090,362
Allergan plc8,015,501$1,311,175,654
Raytheon Co.6,968,324$1,308,999,663
3615 Holdings
51-100 of 3615 | <Prev  Next>