Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3594 Holdings
101-150 of 3594 | <Prev  Next>

Holding Shares Market Value
General Dynamics Corp.5,989,999$1,176,016,504
Raytheon Co.6,796,053$1,167,358,024
FedEx Corp.5,597,631$1,164,475,177
Simon Property Group Inc.7,272,171$1,152,639,104
Anthem Inc.6,172,161$1,149,318,100
Dominion Energy Inc.14,684,854$1,133,377,032
Prudential Financial Inc.9,992,551$1,131,456,550
Applied Materials Inc.25,164,942$1,115,058,580
Southern Co.23,226,255$1,113,234,402
Occidental Petroleum Corp.17,825,033$1,103,904,294
MetLife Inc.20,053,210$1,102,926,550
Northrop Grumman Corp.4,090,772$1,076,404,836
General Motors Co.29,895,908$1,075,654,770
Becton Dickinson and Co.5,282,086$1,063,812,120
Cigna Corp.5,966,625$1,035,567,435
Activision Blizzard Inc.16,672,053$1,029,999,434
Stryker Corp.6,997,197$1,029,287,679
Ford Motor Co.90,920,088$1,020,123,387
Kimberly-Clark Corp.8,278,298$1,019,555,182
CSX Corp.20,420,630$1,007,553,884
TJX Cos. Inc.14,261,289$1,002,711,230
Capital One Financial Corp.11,261,758$970,538,304
Cognizant Technology Solutions Corp. Class A13,718,717 $950,981,462
Deere & Co.7,408,740$950,393,167
Crown Castle International Corp.9,386,620$944,106,240
Marsh & McLennan Cos. Inc.12,025,653$937,640,164
Tesla Inc.2,888,419$934,316,894
S&P Global Inc.6,015,639$923,941,994
CME Group Inc.7,519,498$922,040,845
Intercontinental Exchange Inc.13,812,696$921,444,950
Illinois Tool Works Inc.6,434,522$905,401,591
Kinder Morgan Inc./DE44,231,204$903,643,498
Regeneron Pharmaceuticals Inc.1,822,584$896,018,746
Emerson Electric Co.14,993,036$893,734,876
BB&T Corp.18,886,754$893,721,199
Vertex Pharmaceuticals Inc.5,801,054$880,716,018
Express Scripts Holding Co.13,827,517$866,155,665
Praxair Inc.6,652,339$865,868,444
eBay Inc.23,931,809$855,083,536
Phillips 6610,179,401$852,524,834
Johnson Controls International plc21,871,047$851,877,281
Boston Scientific Corp.31,982,203$851,366,244
Aon plc6,123,925$846,142,717
Travelers Cos. Inc.6,506,256$833,386,331
Exelon Corp.21,566,219$826,848,836
Equinix Inc.1,816,697$818,839,839
Eaton Corp. plc10,412,249$814,758,484
Halliburton Co.19,181,860$814,078,138
American Electric Power Co. Inc.11,485,151$810,162,552
Intuitive Surgical Inc.861,038$807,877,514
3594 Holdings
101-150 of 3594 | <Prev  Next>