Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3667 Holdings
101-150 of 3667 | <Prev  Next>

Holding Shares Market Value
PNC Financial Services Group Inc.9,744,688$824,108,264
FedEx Corp.5,061,491$823,605,816
Netflix Inc.7,831,374$800,601,364
Public Storage2,832,625$781,322,954
Twenty-First Century Fox Inc. Class A27,891,144$777,605,095
EOG Resources Inc.10,582,033$768,043,955
Aetna Inc.6,722,701$755,295,457
Automatic Data Processing Inc.8,379,048$751,684,396
Phillips 668,646,726$748,720,004
MetLife Inc.16,930,493$743,925,862
Monsanto Co.8,469,756$743,136,391
Cognizant Technology Solutions Corp. Class A11,691,006 $733,026,076
Bank of New York Mellon Corp.19,898,056$732,845,402
Delta Air Lines Inc.15,010,830$730,727,204
General Mills Inc.11,459,095$725,933,668
Raytheon Co.5,770,069$707,583,561
Morgan Stanley28,285,820$707,428,358
Capital One Financial Corp.10,166,859$704,664,997
Anthem Inc.5,026,438$698,624,618
BlackRock Inc.2,050,511$698,342,531
McKesson Corp.4,404,570$692,618,633
Northrop Grumman Corp.3,494,633$691,587,871
Kroger Co.17,796,797$680,727,485
Emerson Electric Co.12,467,084$677,960,028
Cigna Corp.4,930,240$676,626,138
General Dynamics Corp.5,108,233$671,068,569
Travelers Cos. Inc.5,749,620$671,038,150
Kinder Morgan Inc./DE36,525,910$652,352,753
Charles Schwab Corp.22,867,237$640,739,981
Exelon Corp.17,692,771$634,462,768
Praxair Inc.5,485,958$627,867,893
Prudential Financial Inc.8,688,737$627,500,586
American Electric Power Co. Inc.9,426,372$625,911,101
Becton Dickinson and Co.4,069,263$617,795,509
Stryker Corp.5,752,321$617,166,520
Yum! Brands Inc.7,472,718$611,641,968
Illinois Tool Works Inc.5,933,223$607,799,364
Marsh & McLennan Cos. Inc.9,997,057$607,721,095
Yahoo! Inc.16,339,947$601,473,449
Hewlett Packard Enterprise Co.33,490,700$593,790,111
CME Group Inc./IL6,177,734$593,371,351
Valero Energy Corp.9,060,202$581,121,356
PPG Industries Inc.5,160,389$575,331,770
Alexion Pharmaceuticals Inc.4,117,041$573,174,448
LyondellBasell Industries NV Class A6,664,112$570,314,705
Ecolab Inc.5,101,891$568,962,884
PG&E Corp.9,458,432$564,857,559
Halliburton Co.15,697,342$560,709,056
Crown Castle International Corp.6,430,558$556,243,267
Eaton Corp. plc8,850,783$553,704,984
3667 Holdings
101-150 of 3667 | <Prev  Next>