Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3635 Holdings
101-150 of 3635 | <Prev  Next>

Holding Shares Market Value
General Mills Inc.11,783,338$840,387,666
McKesson Corp.4,493,325$838,679,111
PayPal Holdings Inc.22,945,629$837,744,915
Target Corp.11,744,430$819,996,103
PNC Financial Services Group Inc.10,061,009$818,865,523
Raytheon Co.5,924,051$805,374,733
Bank of New York Mellon Corp.20,642,180$801,948,693
Northrop Grumman Corp.3,594,215$798,922,110
Automatic Data Processing Inc.8,599,188$790,007,402
General Motors Co.27,658,726$782,741,946
Morgan Stanley29,066,962$755,159,673
Public Storage2,942,870$752,168,143
Netflix Inc.8,120,881$742,898,194
BlackRock Inc.2,156,081$738,522,425
Halliburton Co.16,171,945$732,427,389
FedEx Corp.4,805,430$729,368,165
General Dynamics Corp.5,228,853$728,065,492
Twenty-First Century Fox Inc. Class A26,857,730$726,501,597
Becton Dickinson and Co.4,214,317$714,706,020
Stryker Corp.5,945,106$712,402,052
Marsh & McLennan Cos. Inc.10,320,512$706,542,252
Kinder Morgan Inc./DE37,672,505$705,229,294
Phillips 668,876,029$704,224,141
Kroger Co.18,952,181$697,250,739
MetLife Inc.17,443,709$694,782,929
Travelers Cos. Inc.5,828,996$693,883,684
Cognizant Technology Solutions Corp. Class A12,066,770 $690,701,915
Anthem Inc.5,219,655$685,549,488
American Electric Power Co. Inc.9,705,755$680,276,368
Crown Castle International Corp.6,698,946$679,474,093
Emerson Electric Co.12,766,501$665,900,692
Exelon Corp.18,260,589$663,955,016
Capital One Financial Corp.10,283,257$653,089,652
Cigna Corp.5,098,238$652,523,482
Yahoo! Inc.17,083,496$641,656,110
Yum! Brands Inc.7,700,017$638,485,410
Illinois Tool Works Inc.6,112,906$636,720,289
Praxair Inc.5,664,496$636,632,705
Prudential Financial Inc.8,827,594$629,760,556
Boston Scientific Corp.26,945,476$629,715,774
PG&E Corp.9,801,549$626,515,012
Hewlett Packard Enterprise Co.34,288,859$626,457,454
Ecolab Inc.5,256,108$623,374,409
CME Group Inc./IL6,386,982$622,092,047
Charles Schwab Corp.23,856,173$603,799,739
Waste Management Inc.8,864,229$587,432,456
Aon plc5,341,003$583,397,758
Air Products & Chemicals Inc.4,077,049$579,104,040
Aflac Inc.8,021,194$578,809,359
Intercontinental Exchange Inc.2,259,757$578,407,402
3635 Holdings
101-150 of 3635 | <Prev  Next>