Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3620 Holdings
101-150 of 3620 | <Prev  Next>

Holding Shares Market Value
General Motors Co.27,833,621$877,872,406
PayPal Holdings Inc.23,112,352$860,703,988
General Mills Inc.11,954,592$859,415,619
Reynolds American Inc.17,154,230$858,740,754
Morgan Stanley29,137,532$837,121,294
PNC Financial Services Group Inc.10,085,276$833,548,061
Raytheon Co.5,952,753$830,587,626
Bank of New York Mellon Corp.20,692,321$815,277,447
Aetna Inc.7,036,310$810,653,275
BlackRock Inc.2,161,227$791,549,389
FedEx Corp.4,848,507$784,973,283
Northrop Grumman Corp.3,619,608$784,115,681
Kinder Morgan Inc./DE38,091,729$774,404,851
Automatic Data Processing Inc.8,682,226$772,284,003
General Dynamics Corp.5,241,560$769,932,748
MetLife Inc.17,642,603$754,044,852
Becton Dickinson and Co.4,250,570$748,100,320
Netflix Inc.8,164,404$745,001,865
Hewlett Packard Enterprise Co.34,401,863$723,127,160
Emerson Electric Co.12,905,873$721,438,301
Twenty-First Century Fox Inc. Class A26,910,840$716,904,778
Halliburton Co.16,387,242$715,466,986
Illinois Tool Works Inc.6,136,459$708,147,369
Public Storage2,956,463$706,358,140
Cognizant Technology Solutions Corp. Class A12,167,334 $699,500,032
Stryker Corp.5,998,896$697,551,627
Yum! Brands Inc.7,771,398$694,918,409
Anthem Inc.5,273,771$692,657,083
Capital One Financial Corp.10,308,110$691,468,019
Marsh & McLennan Cos. Inc.10,507,782$690,886,667
Exelon Corp.18,464,653$688,362,264
Phillips 668,979,363$682,970,350
Travelers Cos. Inc.5,875,839$682,890,009
eBay Inc.21,909,200$682,690,672
American Electric Power Co. Inc.9,810,291$679,853,166
Charles Schwab Corp.23,913,317$679,616,469
Praxair Inc.5,728,151$667,558,718
Prudential Financial Inc.8,849,048$666,244,824
Cigna Corp.5,145,744$663,595,146
Boston Scientific Corp.27,210,137$660,662,126
Crown Castle International Corp.6,800,524$659,854,844
Regeneron Pharmaceuticals Inc.1,549,893$658,890,512
CME Group Inc.6,442,776$658,709,418
Yahoo! Inc.17,124,601$653,988,512
Kroger Co.19,118,082$653,647,224
S&P Global Inc.5,306,406$648,442,813
PG&E Corp.9,948,291$636,093,727
Ecolab Inc.5,299,520$627,357,178
Air Products & Chemicals Inc.4,127,505$616,731,797
BB&T Corp.16,317,704$601,633,746
3620 Holdings
101-150 of 3620 | <Prev  Next>