Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3644 Holdings
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Holding Shares Market Value
FedEx Corp.5,145,689$848,884,314
Dominion Resources Inc./VA11,712,892$846,256,447
Reynolds American Inc.16,837,425$836,820,023
Target Corp.12,097,569$832,070,796
Caterpillar Inc.11,433,967$829,076,947
McKesson Corp.4,492,776$822,806,997
Netflix Inc.7,990,330$819,568,148
Twenty-First Century Fox Inc. Class A27,864,584$804,729,186
Morgan Stanley28,868,524$790,131,502
MetLife Inc.17,252,045$785,830,650
Aetna Inc.6,870,058$777,896,667
BlackRock Inc.2,105,307$766,015,952
Raytheon Co.5,876,895$762,056,975
Capital One Financial Corp.10,362,343$758,938,001
Northrop Grumman Corp.3,557,496$756,572,674
Automatic Data Processing Inc.8,540,400$750,188,736
General Dynamics Corp.5,203,419$738,209,054
Public Storage2,900,336$735,844,247
Cognizant Technology Solutions Corp. Class A11,949,682 $734,188,462
General Mills Inc.11,652,657$731,553,806
Charles Schwab Corp.23,409,564$715,864,467
Phillips 668,811,707$708,108,775
Prudential Financial Inc.8,898,162$705,179,339
Becton Dickinson and Co.4,163,180$692,961,311
Anthem Inc.5,135,476$678,704,508
Marsh & McLennan Cos. Inc.10,254,394$677,507,812
Halliburton Co.16,016,212$675,563,822
Kinder Morgan Inc./DE37,296,733$674,324,933
Delta Air Lines Inc.15,321,247$665,861,395
Travelers Cos. Inc.5,798,433$661,833,143
Emerson Electric Co.12,642,223$657,648,440
Stryker Corp.5,869,224$652,422,940
Kroger Co.18,185,977$650,330,538
Illinois Tool Works Inc.6,089,367$645,655,583
Cigna Corp.5,027,243$644,040,101
Alexion Pharmaceuticals Inc.4,207,451$634,904,356
Yahoo! Inc.16,696,946$633,482,131
Intercontinental Exchange Inc.2,336,304$633,418,740
Hewlett Packard Enterprise Co.34,210,109$631,860,713
Yum! Brands Inc.7,622,058$625,694,741
American Electric Power Co. Inc.9,632,225$623,493,924
Exelon Corp.18,072,568$619,346,905
CME Group Inc./IL6,317,279$618,398,441
Praxair Inc.5,601,851$615,419,351
Ecolab Inc.5,224,935$612,571,379
Regeneron Pharmaceuticals Inc.1,516,305$604,899,554
Boston Scientific Corp.26,494,949$601,700,292
Crown Castle International Corp.6,565,110$596,177,639
BB&T Corp.16,084,199$584,982,318
S&P Global Inc.5,217,531$583,372,141
3644 Holdings
101-150 of 3644 | <Prev  Next>