Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3654 Holdings
101-150 of 3654 | <Prev  Next>

Holding Shares Market Value
Twenty-First Century Fox Inc. Class A27,801,679$841,278,807
FedEx Corp.5,082,998$839,253,800
Dominion Resources Inc./VA11,592,343$828,504,754
Reynolds American Inc.16,613,033$824,006,437
Bank of New York Mellon Corp.20,154,841$811,030,802
Monsanto Co.8,546,817$800,665,817
Morgan Stanley28,554,383$772,681,604
MetLife Inc.17,065,954$769,674,525
Aetna Inc.6,785,500$761,808,085
McKesson Corp.4,434,922$744,268,610
Automatic Data Processing Inc.8,400,925$742,977,807
Capital One Financial Corp.10,234,189$740,852,942
BlackRock Inc.2,077,831$740,393,520
Raytheon Co.5,797,181$732,473,819
Northrop Grumman Corp.3,510,107$723,994,670
General Dynamics Corp.5,134,401$721,486,029
Phillips 668,709,826$715,163,813
Anthem Inc.5,068,995$713,562,426
Netflix Inc.7,896,347$710,908,120
General Mills Inc.11,488,956$704,732,561
Public Storage2,874,248$703,644,653
Cognizant Technology Solutions Corp. Class A11,810,975 $689,406,611
Cigna Corp.4,962,004$687,436,034
Emerson Electric Co.12,497,812$682,755,470
Prudential Financial Inc.8,787,688$682,276,096
Becton Dickinson and Co.4,112,855$663,238,997
Charles Schwab Corp.23,146,760$657,599,452
Kinder Morgan Inc./DE36,830,886$654,116,535
Halliburton Co.15,810,865$653,146,833
Praxair Inc.5,527,521$649,262,617
Marsh & McLennan Cos. Inc.10,109,350$638,405,453
Kroger Co.17,968,632$635,909,886
Travelers Cos. Inc.5,754,746$632,446,585
Stryker Corp.5,798,663$632,112,254
Delta Air Lines Inc.15,142,052$630,969,307
Exelon Corp.17,870,224$627,066,160
Illinois Tool Works Inc.5,992,103$626,294,606
American Electric Power Co. Inc.9,537,502$605,631,377
Yahoo! Inc.16,504,828$604,076,705
Yum! Brands Inc.7,516,843$598,040,029
Ecolab Inc.5,169,451$594,383,476
Alexion Pharmaceuticals Inc.4,157,245$579,021,084
Boston Scientific Corp.26,180,837$573,883,947
CME Group Inc./IL6,234,926$573,052,049
PPG Industries Inc.5,185,119$572,385,286
Crown Castle International Corp.6,506,171$565,256,136
Regeneron Pharmaceuticals Inc.1,498,776$564,603,907
Eaton Corp. plc8,913,043$563,928,231
Hewlett Packard Enterprise Co.33,795,229$563,028,515
PG&E Corp.9,546,629$555,613,808
3654 Holdings
101-150 of 3654 | <Prev  Next>