Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3792 Holdings
101-150 of 3792 | <Prev  Next>

Holding Shares Market Value
MetLife Inc.15,656,460$728,025,390
General Motors Co.22,144,691$722,359,820
Anadarko Petroleum Corp.8,724,036$713,189,943
Capital One Financial Corp.9,570,657$700,667,799
Bank of New York Mellon Corp.19,387,045$697,933,620
Kimberly-Clark Corp.6,414,138$692,470,338
Automatic Data Processing Inc.8,306,988$685,575,720
Delta Air Lines Inc.14,419,868$682,203,955
Emerson Electric Co.11,953,181$680,614,126
Phillips 669,536,151$670,582,138
Kraft Foods Group Inc.10,143,126$662,751,853
American Tower Corporation6,829,674$662,136,894
Time Warner Cable Inc.4,832,416$657,836,790
Baxter International Inc.9,338,366$656,580,513
General Dynamics Corp.4,853,029$646,471,993
Yahoo! Inc.14,689,924$646,209,757
BlackRock Inc.1,857,157$632,380,530
Anthem Inc.4,651,091$627,711,241
Alexion Pharmaceuticals Inc.3,415,310$625,821,404
American Airlines Group Inc.12,356,867$606,475,032
Praxair Inc.5,020,808$605,459,237
Prudential Financial Inc.7,852,577$595,853,543
Travelers Cos. Inc.5,711,021$587,207,179
ACE Ltd.5,430,061$586,229,386
salesforce.com inc10,329,288$583,088,308
CSX Corp.17,221,949$573,490,902
Adobe Systems Inc.8,164,348$572,565,725
Cognizant Technology Solutions Corp. Class A10,492,783 $567,974,344
Aetna Inc.6,059,339$556,368,507
Kroger Co.8,034,903$554,810,052
Halliburton Co.13,869,701$554,649,343
Northrop Grumman Corp.3,480,097$546,201,224
LyondellBasell Industries NV Class A6,901,921$545,872,932
General Mills Inc.10,395,970$545,580,506
Yum! Brands Inc.7,536,529$544,740,316
Norfolk Southern Corp.5,330,974$543,599,419
Micron Technology Inc.18,494,603$541,244,557
Regeneron Pharmaceuticals Inc.1,287,933$536,630,164
Johnson Controls Inc.11,480,649$533,505,759
Illinois Tool Works Inc.5,730,411$533,443,960
Exelon Corp.14,798,350$533,332,534
Raytheon Co.5,310,912$531,356,746
Southwest Airlines Co.11,697,053$528,472,855
American Electric Power Co. Inc.8,411,747$528,341,829
PPG Industries Inc.2,364,866$527,081,334
Charles Schwab Corp.20,258,458$526,314,739
Deere & Co.6,175,180$526,063,584
Corning Inc.22,095,682$525,214,361
Archer-Daniels-Midland Co.11,088,605$517,061,651
Eaton Corp. plc8,180,304$516,095,379
3792 Holdings
101-150 of 3792 | <Prev  Next>

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