Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3800 Holdings
101-150 of 3800 | <Prev  Next>

Holding Shares Market Value
NextEra Energy Inc.7,837,263$791,014,955
Capital One Financial Corp.9,752,355$788,477,902
MetLife Inc.15,060,370$772,446,377
Time Warner Cable Inc.4,962,115$771,708,125
Salesforce.com inc10,594,568$771,496,442
Phillips 669,607,415$761,964,084
TJX Cos. Inc.11,622,826$750,137,190
Dominion Resources Inc./VA10,332,098$740,604,785
Emerson Electric Co.12,117,313$712,861,524
Anthem Inc.4,713,435$711,398,745
Automatic Data Processing Inc.8,396,971$709,879,928
Kimberly-Clark Corp.6,457,767$708,352,462
Southern Co.15,910,790$704,847,997
American Tower Corporation7,428,582$702,223,856
LyondellBasell Industries NV Class A6,747,389$698,489,709
Halliburton Co.14,262,149$698,132,194
BlackRock Inc.1,899,480$691,296,751
General Dynamics Corp.4,986,124$684,694,548
Aetna Inc.6,212,629$663,943,661
Baxter International Inc.9,596,668$659,674,958
Yum! Brands Inc.7,648,611$657,474,602
Prudential Financial Inc.8,022,944$654,672,230
Delta Air Lines Inc.14,576,199$650,681,523
Yahoo! Inc.15,059,655$641,014,215
Adobe Systems Inc.8,364,218$636,182,421
Charles Schwab Corp.20,858,110$636,172,355
CSX Corp.17,506,437$631,807,311
Cognizant Technology Solutions Corp. Class A10,757,411 $629,738,840
Praxair Inc.5,104,382$622,377,297
Regeneron Pharmaceuticals Inc.1,333,209$609,889,789
Williams Cos. Inc.11,893,028$608,804,103
Alexion Pharmaceuticals Inc.3,571,350$604,379,561
ACE Ltd.5,570,113$595,946,390
American Airlines Group Inc.12,322,561$594,994,858
General Mills Inc.10,666,015$590,257,270
Johnson Controls Inc.11,618,200$585,324,916
Travelers Cos. Inc.5,677,554$574,057,485
Cigna Corp.4,564,387$568,905,196
Eaton Corp. plc8,273,462$568,635,043
Kroger Co.8,241,147$567,897,440
Netflix Inc.1,015,839$565,314,404
Raytheon Co.5,427,973$564,509,192
Norfolk Southern Corp.5,433,086$547,926,723
Archer-Daniels-Midland Co.11,209,346$547,912,832
Deere & Co.6,001,845$543,287,009
Northrop Grumman Corp.3,505,200$539,941,008
Micron Technology Inc.19,039,981$535,594,666
Ecolab Inc.4,776,666$534,891,059
Marsh & McLennan Cos. Inc.9,516,157$534,427,377
Illinois Tool Works Inc.5,705,964$533,964,111
3800 Holdings
101-150 of 3800 | <Prev  Next>