Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3783 Holdings
101-150 of 3783 | <Prev  Next>

Holding Shares Market Value
Bank of New York Mellon Corp.19,606,361$767,392,970
Capital One Financial Corp.9,686,740$762,443,305
Phillips 669,644,947$756,742,542
Time Warner Cable Inc.4,886,610$752,782,271
Automatic Data Processing Inc.8,400,694$746,317,655
Anadarko Petroleum Corp.8,824,012$743,246,531
Dominion Resources Inc./VA10,169,159$733,094,672
American Tower Corporation7,330,230$726,719,002
salesforce.com inc10,444,460$724,636,635
Southern Co.15,668,830$717,475,726
Kimberly-Clark Corp.6,492,483$711,965,686
Emerson Electric Co.12,086,697$700,061,490
BlackRock Inc.1,873,779$695,958,996
Anthem Inc.4,702,018$688,610,536
General Dynamics Corp.4,909,141$681,290,588
Cognizant Technology Solutions Corp. Class A10,608,189 $662,852,690
Yahoo! Inc.14,855,393$657,796,802
Kraft Foods Group Inc.10,262,269$657,400,952
Adobe Systems Inc.8,256,677$653,103,151
Baxter International Inc.9,444,332$653,075,558
Praxair Inc.5,078,742$649,571,102
Delta Air Lines Inc.14,567,953$648,565,268
Prudential Financial Inc.7,942,806$642,175,865
ACE Ltd.5,487,481$625,627,709
Alexion Pharmaceuticals Inc.3,455,527$623,273,405
Travelers Cos. Inc.5,788,031$621,866,051
Yum! Brands Inc.7,620,190$618,073,611
Aetna Inc.6,126,360$609,879,138
Halliburton Co.14,023,866$602,184,806
Charles Schwab Corp.20,472,711$600,669,341
LyondellBasell Industries NV Class A6,978,482$599,521,389
American Airlines Group Inc.12,490,616$598,300,506
CSX Corp.17,420,396$597,693,787
Johnson Controls Inc.11,608,911$589,848,768
Norfolk Southern Corp.5,391,430$588,528,499
Eaton Corp. plc8,269,782$587,237,220
Raytheon Co.5,372,090$584,322,229
Northrop Grumman Corp.3,518,303$583,017,990
Kroger Co.8,116,316$577,475,883
Williams Cos. Inc.11,720,126$574,754,979
Micron Technology Inc.18,701,867$573,586,261
Illinois Tool Works Inc.5,798,846$573,273,916
General Mills Inc.10,520,524$565,898,986
Deere & Co.6,242,955$565,611,723
PPG Industries Inc.2,390,968$562,786,048
Avago Technologies Ltd. Class A4,406,704$562,383,564
Valero Energy Corp.9,081,519$560,238,907
Cigna Corp.4,555,312$554,062,599
Corning Inc.22,335,678$544,990,543
Ecolab Inc.4,706,088$543,741,408
3783 Holdings
101-150 of 3783 | <Prev  Next>