Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3604 Holdings
101-150 of 3604 | <Prev  Next>

Holding Shares Market Value
BlackRock Inc.2,675,039$1,195,983,187
Northrop Grumman Corp.4,137,038$1,190,308,573
Simon Property Group Inc.7,380,366$1,188,312,730
General Motors Co.29,386,777$1,186,638,055
Anthem Inc.6,232,527$1,183,432,227
Dominion Energy Inc.15,245,525$1,172,838,238
Occidental Petroleum Corp.18,152,436$1,165,567,916
Southern Co.23,627,088$1,161,035,104
Kraft Heinz Co.14,459,069$1,121,300,801
CSX Corp.20,597,013$1,117,593,925
Cigna Corp.5,976,240$1,117,198,306
Ford Motor Co.92,519,239$1,107,455,291
Activision Blizzard Inc.17,031,480$1,098,700,775
Automatic Data Processing Inc.10,021,981$1,095,602,963
CME Group Inc.8,071,588$1,095,153,060
Tesla Inc.3,170,065$1,081,309,172
Prudential Financial Inc.10,128,662$1,076,879,344
TJX Cos. Inc.14,512,500$1,070,006,625
Becton Dickinson and Co.5,405,178$1,059,144,629
MetLife Inc.20,180,160$1,048,359,312
Illinois Tool Works Inc.6,941,820$1,027,111,687
Marsh & McLennan Cos. Inc.12,166,591$1,019,681,992
Cognizant Technology Solutions Corp. Class A14,021,356 $1,017,109,164
Stryker Corp.7,108,854$1,009,599,445
Micron Technology Inc.25,126,677$988,232,206
Kimberly-Clark Corp.8,387,337$987,021,818
Capital One Financial Corp.11,507,511$974,225,881
Crown Castle International Corp.9,642,005$964,007,660
Intercontinental Exchange Inc.13,978,638$960,332,431
Emerson Electric Co.15,196,634$954,956,481
S&P Global Inc.6,103,148$953,983,064
Deere & Co.7,589,956$953,222,574
Boston Scientific Corp.32,595,616$950,814,119
Praxair Inc.6,792,040$949,119,670
Phillips 6610,318,101$945,241,233
eBay Inc.24,141,981$928,500,589
Intuitive Surgical Inc.884,266$924,836,124
Vertex Pharmaceuticals Inc.5,987,664$910,364,435
Norfolk Southern Corp.6,839,199$904,415,676
Halliburton Co.19,640,126$904,035,000
BB&T Corp.19,182,451$900,424,250
Johnson Controls International plc22,133,993$891,778,578
Aon plc6,038,004$882,152,384
Express Scripts Holding Co.13,717,568$868,596,406
Electronic Arts Inc.7,330,917$865,488,061
Kinder Morgan Inc./DE45,043,369$863,931,817
Regeneron Pharmaceuticals Inc.1,874,714$838,222,124
Humana Inc.3,430,509$835,774,908
PG&E Corp.12,169,198$828,600,692
Exelon Corp.21,984,450$828,154,232
3604 Holdings
101-150 of 3604 | <Prev  Next>