Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3580 Holdings
101-150 of 3580 | <Prev  Next>

Holding Shares Market Value
American Tower Corporation9,305,380$1,068,164,570
Dominion Resources Inc./VA13,736,770$1,066,522,823
Charles Schwab Corp.26,096,481$1,054,558,797
PayPal Holdings Inc.25,104,899$1,054,405,758
General Motors Co.28,445,746$1,047,941,283
Prudential Financial Inc.9,420,783$1,041,373,353
Kimberly-Clark Corp.7,839,453$1,039,119,495
Bank of New York Mellon Corp.22,009,233$1,037,515,244
FedEx Corp.5,240,580$1,011,327,128
MetLife Inc.19,278,291$1,010,953,580
CSX Corp.20,518,988$996,402,057
Capital One Financial Corp.10,607,909$995,658,339
Raytheon Co.6,423,569$990,193,161
Aetna Inc.7,682,525$989,201,919
Automatic Data Processing Inc.9,377,511$962,320,179
Halliburton Co.17,917,002$957,842,927
Express Scripts Holding Co.13,508,291$954,360,759
Northrop Grumman Corp.3,853,840$952,245,326
Anthem Inc.5,768,494$950,763,181
Illinois Tool Works Inc.6,864,638$906,200,862
BlackRock Inc.2,309,370$894,788,500
Kinder Morgan Inc./DE41,519,529$884,781,163
Johnson Controls International plc20,489,490$859,329,211
Yahoo! Inc.18,811,306$858,924,232
BB&T Corp.17,782,966$857,494,621
CME Group Inc.7,055,386$856,947,184
Applied Materials Inc.23,610,495$855,172,129
Becton Dickinson and Co.4,647,211$850,671,974
Emerson Electric Co.14,080,498$846,237,930
Stryker Corp.6,553,629$842,534,544
Cigna Corp.5,623,835$837,389,032
Hewlett Packard Enterprise Co.36,489,154$832,682,494
Marsh & McLennan Cos. Inc.11,265,868$827,815,981
Delta Air Lines Inc.16,401,711$818,937,430
Anadarko Petroleum Corp.12,207,785$789,233,300
eBay Inc.23,251,598$788,229,172
Cognizant Technology Solutions Corp. Class A13,286,078 $787,465,843
General Mills Inc.12,966,508$782,788,088
Southwest Airlines Co.13,455,062$777,702,584
Norfolk Southern Corp.6,398,624$774,425,463
Travelers Cos. Inc.6,223,486$760,758,929
Phillips 669,674,048$756,413,813
Intercontinental Exchange Inc.13,053,105$745,723,889
McKesson Corp.4,950,236$743,178,931
Praxair Inc.6,255,686$742,612,485
Exelon Corp.20,221,592$742,334,642
Crown Castle International Corp.7,887,421$737,710,486
PG&E Corp.11,045,361$737,277,847
Public Storage3,227,498$734,126,695
S&P Global Inc.5,666,389$733,627,384
3580 Holdings
101-150 of 3580 | <Prev  Next>