Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3743 Holdings
101-150 of 3743 | <Prev  Next>

Holding Shares Market Value
Southern Co.16,649,249$779,018,361
PayPal Holdings Inc.21,271,962$770,045,024
Regeneron Pharmaceuticals Inc.1,403,975$762,175,908
American Tower Corporation7,775,241$753,809,615
Alexion Pharmaceuticals Inc.3,922,621$748,239,956
Dominion Resources Inc./VA10,938,569$739,884,807
FedEx Corp.4,917,667$732,683,206
Delta Air Lines Inc.14,428,207$731,365,813
Caterpillar Inc.10,679,232$725,760,607
Reynolds American Inc.15,704,149$724,746,476
Phillips 668,796,856$719,582,821
Charles Schwab Corp.21,730,113$715,572,621
EOG Resources Inc.10,073,065$713,072,271
Kroger Co.16,943,388$708,741,920
Capital One Financial Corp.9,750,033$703,757,382
Avago Technologies Ltd. Class A4,806,244$697,626,317
Aetna Inc.6,390,085$690,895,990
Cigna Corp.4,719,304$690,575,754
Raytheon Co.5,519,771$687,377,083
Automatic Data Processing Inc.8,093,836$685,709,786
General Dynamics Corp.4,935,072$677,881,490
Prudential Financial Inc.8,237,407$670,607,304
Cognizant Technology Solutions Corp. Class A11,145,023 $668,924,280
Public Storage2,699,851$668,753,093
Anthem Inc.4,780,138$666,542,443
BlackRock Inc.1,955,921$666,030,219
ACE Ltd.5,649,267$660,116,849
Travelers Cos. Inc.5,636,865$636,176,584
General Mills Inc.10,958,032$631,840,125
Northrop Grumman Corp.3,343,433$631,273,585
Valero Energy Corp.8,823,174$623,886,634
Becton Dickinson and Co.3,863,842$595,379,414
Broadcom Corp. Class A10,284,313$594,638,978
Yum! Brands Inc.7,905,295$577,481,800
eBay Inc.20,907,830$574,547,168
Emerson Electric Co.12,011,011$574,486,656
LyondellBasell Industries NV Class A6,594,731$573,082,124
Vertex Pharmaceuticals Inc.4,503,682$566,698,306
Ecolab Inc.4,876,503$557,774,413
Intercontinental Exchange Inc.2,171,788$556,542,393
Precision Castparts Corp.2,397,369$556,213,582
Chubb Corp.4,173,676$553,596,385
Equity Residential6,677,475$544,815,185
BB&T Corp.14,350,224$542,581,969
Praxair Inc.5,260,231$538,647,654
Cardinal Health Inc.6,029,168$538,223,827
CME Group Inc./IL5,876,227$532,386,166
Marsh & McLennan Cos. Inc.9,592,538$531,906,232
Crown Castle International Corp.6,122,659$529,303,871
Illinois Tool Works Inc.5,674,001$525,866,413
3743 Holdings
101-150 of 3743 | <Prev  Next>