Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3582 Holdings
101-150 of 3582 | <Prev  Next>

Holding Shares Market Value
Dominion Resources Inc./VA13,965,212$1,083,281,495
Occidental Petroleum Corp.17,020,851$1,078,441,119
General Dynamics Corp.5,733,135$1,073,242,872
Bank of New York Mellon Corp.22,372,564$1,056,656,198
Kimberly-Clark Corp.7,936,943$1,044,739,807
FedEx Corp.5,340,019$1,042,104,708
MetLife Inc.19,521,526$1,031,127,003
Prudential Financial Inc.9,572,349$1,021,178,191
Ford Motor Co.86,914,007$1,011,679,041
General Motors Co.28,358,212$1,002,746,376
Aetna Inc.7,832,179$998,994,431
Raytheon Co.6,524,623$995,005,008
Anthem Inc.5,887,907$973,742,060
Automatic Data Processing Inc.9,499,429$972,646,535
CSX Corp.20,633,905$960,508,278
Applied Materials Inc.24,034,445$934,939,911
Capital One Financial Corp.10,723,536$929,301,630
Northrop Grumman Corp.3,891,482$925,550,079
Kinder Morgan Inc./DE42,259,565$918,722,943
Halliburton Co.18,315,757$901,318,402
BlackRock Inc.2,347,561$900,313,119
Express Scripts Holding Co.13,491,569$889,229,313
Yahoo! Inc.19,126,595$887,665,274
Johnson Controls International plc20,909,540$880,709,825
Hewlett Packard Enterprise Co.37,087,804$878,980,955
Stryker Corp.6,646,513$875,013,436
Becton Dickinson and Co.4,741,557$869,791,216
Emerson Electric Co.14,374,015$860,428,538
CME Group Inc.7,181,182$853,124,422
Marsh & McLennan Cos. Inc.11,454,711$846,388,596
Cigna Corp.5,717,567$837,566,390
Illinois Tool Works Inc.6,230,885$825,405,336
BB&T Corp.18,009,742$805,035,467
Cognizant Technology Solutions Corp. Class A13,514,495 $804,382,742
Intercontinental Exchange Inc.13,266,951$794,292,356
Activision Blizzard Inc.15,727,603$784,178,286
Phillips 669,804,037$776,675,811
Deere & Co.7,093,785$772,229,435
eBay Inc.22,999,056$772,078,310
Anadarko Petroleum Corp.12,445,166$771,600,292
General Mills Inc.12,919,784$762,396,454
Crown Castle International Corp.8,029,250$758,362,663
Boston Scientific Corp.30,379,613$755,540,975
Praxair Inc.6,358,727$754,145,022
S&P Global Inc.5,757,044$752,675,933
Travelers Cos. Inc.6,230,646$751,042,069
PG&E Corp.11,310,981$750,596,699
Tesla Inc.2,691,019$748,910,588
Eaton Corp. plc10,022,051$743,135,082
Exelon Corp.20,531,190$738,712,216
3582 Holdings
101-150 of 3582 | <Prev  Next>