Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3576 Holdings
101-150 of 3576 | <Prev  Next>

Holding Shares Market Value
TJX Cos. Inc.13,208,832$992,379,548
Monsanto Co.9,280,867$976,440,017
salesforce.com Inc.14,016,038$959,537,961
PayPal Holdings Inc.24,286,187$958,575,801
General Motors Co.27,494,722$957,916,114
American Tower Corporation9,018,762$953,102,768
Prudential Financial Inc.9,116,711$948,684,947
General Dynamics Corp.5,493,892$948,575,393
FedEx Corp.5,060,428$942,251,694
Halliburton Co.17,328,004$937,271,736
Automatic Data Processing Inc.9,104,761$935,787,336
Aetna Inc.7,429,060$921,277,731
Express Scripts Holding Co.13,092,196$900,612,163
Capital One Financial Corp.10,278,751$896,718,237
Raytheon Co.6,227,115$884,250,330
Northrop Grumman Corp.3,738,907$869,594,990
Kimberly-Clark Corp.7,607,098$868,122,024
Target Corp.11,909,957$860,256,194
BlackRock Inc.2,239,398$852,180,515
Kinder Morgan Inc./DE40,205,372$832,653,254
Anadarko Petroleum Corp.11,835,539$825,292,134
Illinois Tool Works Inc.6,704,264$821,004,169
Johnson Controls International plc19,817,144$816,268,161
Hewlett Packard Enterprise Co.35,217,285$814,927,975
Phillips 669,409,557$813,079,820
BB&T Corp.17,285,295$812,754,571
Anthem Inc.5,574,044$801,380,306
CME Group Inc.6,816,896$786,328,954
Delta Air Lines Inc.15,847,303$779,528,835
General Mills Inc.12,565,081$776,145,053
Stryker Corp.6,344,487$760,132,987
Emerson Electric Co.13,630,443$759,897,197
Becton Dickinson and Co.4,511,558$746,888,427
Marsh & McLennan Cos. Inc.10,957,611$740,624,927
Applied Materials Inc.22,862,377$737,768,906
Travelers Cos. Inc.6,025,524$737,644,648
Cigna Corp.5,434,923$724,964,379
Cognizant Technology Solutions Corp. Class A12,853,335 $720,172,360
CSX Corp.19,833,934$712,633,249
Intercontinental Exchange Inc.12,564,326$708,879,273
Praxair Inc.6,043,761$708,268,352
Yahoo! Inc.18,179,988$703,020,136
Public Storage3,121,279$697,605,857
Exelon Corp.19,490,339$691,712,131
Kroger Co.20,040,742$691,606,006
McKesson Corp.4,787,594$672,417,577
eBay Inc.22,578,550$670,357,150
Norfolk Southern Corp.6,187,364$668,668,427
Waste Management Inc.9,386,618$665,605,082
Crown Castle International Corp.7,632,563$662,277,492
3576 Holdings
101-150 of 3576 | <Prev  Next>