Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3781 Holdings
101-150 of 3781 | <Prev  Next>

Holding Shares Market Value
Capital One Financial Corp.9,726,749$766,662,356
MetLife Inc.15,008,519$758,680,635
DIRECTV8,859,269$753,923,792
Phillips 669,586,209$753,476,027
Time Warner Cable Inc.4,948,977$741,752,673
Anadarko Petroleum Corp.8,926,701$739,220,110
Dominion Resources Inc./VA10,304,060$730,248,732
Anthem Inc.4,708,208$726,994,397
Automatic Data Processing Inc.8,392,976$718,774,465
salesforce.com inc10,566,878$705,973,119
Southern Co.15,846,506$701,683,286
American Tower Corporation7,411,610$697,803,082
BlackRock Inc.1,895,794$693,557,277
Kimberly-Clark Corp.6,463,535$692,309,234
Emerson Electric Co.12,066,283$683,192,943
General Dynamics Corp.4,965,402$673,954,013
Cognizant Technology Solutions Corp. Class A10,730,401 $669,469,718
Yahoo! Inc.15,023,197$667,555,759
Aetna Inc.6,187,505$659,154,908
Baxter International Inc.9,545,113$653,840,241
Delta Air Lines Inc.14,526,589$653,115,441
American Airlines Group Inc.12,286,292$648,470,492
Prudential Financial Inc.7,999,233$642,418,402
Charles Schwab Corp.20,805,893$633,331,383
Kroger Co.8,210,641$629,427,739
Halliburton Co.14,202,285$623,196,266
ACE Ltd.5,541,529$617,825,068
Alexion Pharmaceuticals Inc.3,563,403$617,537,740
Adobe Systems Inc.8,341,099$616,740,860
Praxair Inc.5,107,702$616,703,939
Travelers Cos. Inc.5,632,804$609,075,097
General Mills Inc.10,631,742$601,756,597
Yum! Brands Inc.7,643,932$601,730,327
Regeneron Pharmaceuticals Inc.1,329,516$600,249,884
Williams Cos. Inc.11,856,847$599,837,890
Raytheon Co.5,422,931$592,455,212
LyondellBasell Industries NV Class A6,727,884$590,708,215
Cigna Corp.4,562,829$590,612,586
Johnson Controls Inc.11,629,684$586,601,261
CSX Corp.17,456,299$578,152,623
Valero Energy Corp.9,076,431$577,442,540
Avago Technologies Ltd. Class A4,520,073$573,958,870
Northrop Grumman Corp.3,493,719$562,349,010
Eaton Corp. plc8,253,485$560,741,771
Norfolk Southern Corp.5,416,450$557,461,034
Illinois Tool Works Inc.5,661,361$549,944,608
Ecolab Inc.4,755,707$543,957,767
PPG Industries Inc.2,401,620$541,661,375
CME Group Inc./IL5,632,349$533,439,774
Marsh & McLennan Cos. Inc.9,491,531$532,379,974
3781 Holdings
101-150 of 3781 | <Prev  Next>