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Vanguard - All fund holdings
Vanguard Total Stock Market Index Fund
Stock Holdings as of 03/31/2014

3684 Holdings
101-150 of 3684 | <Prev  Next>

Holding Shares Market Value
McKesson Corp.3,557,936$628,224,760
Bank of New York Mellon Corp.17,553,746$619,471,696
Baxter International Inc.8,388,839$617,250,774
FedEx Corp.4,578,857$606,973,284
Southern Co.13,728,893$603,247,558
Prudential Financial Inc.7,119,670$602,680,066
Praxair Inc.4,542,923$594,986,625
Target Corp.9,776,678$591,586,786
Time Warner Cable Inc.4,290,492$588,569,693
Allergan Inc./United States4,612,152$572,368,063
DIRECTV7,480,077$571,627,484
Precision Castparts Corp.2,246,533$567,833,681
Actavis plc2,692,513$554,253,801
Eaton Corp. plc7,343,058$551,610,517
Automatic Data Processing Inc.7,068,074$546,079,397
CBS Corp. Class B8,777,012$542,419,342
Freeport-McMoRan Copper & Gold Inc.16,050,696$530,796,517
BlackRock Inc.1,684,211$529,650,675
Viacom Inc. Class B6,136,254$521,520,227
Deere & Co.5,708,070$518,292,756
Yum! Brands Inc.6,857,534$516,989,488
Kraft Foods Group Inc.9,205,234$516,413,627
National Oilwell Varco Inc.6,619,348$515,448,629
Covidien plc6,969,326$513,360,553
Salesforce.com Inc.8,956,686$511,337,204
Las Vegas Sands Corp.6,278,466$507,174,483
Illinois Tool Works Inc.6,233,777$506,993,083
Apache Corp.6,101,672$506,133,692
Yahoo! Inc.14,059,407$504,732,711
American Tower Corporation6,107,447$500,016,686
General Mills Inc.9,635,558$499,314,616
General Dynamics Corp.4,497,178$489,832,628
Johnson Controls Inc.10,266,849$485,827,295
Adobe Systems Inc.7,333,655$482,114,480
Raytheon Co.4,863,379$480,453,211
Cognizant Technology Solutions Corp. Class A9,384,430$474,946,002
Charles Schwab Corp.17,066,899$466,438,350
Norfolk Southern Corp.4,788,558$465,304,181
Alexion Pharmaceuticals Inc.3,058,478$465,286,258
ACE Ltd.4,677,831$463,385,939
Travelers Cos. Inc.5,431,330$462,206,183
Delta Air Lines Inc.13,174,112$456,482,981
CSX Corp.15,609,196$452,198,408
Ecolab Inc.4,184,986$451,936,638
Corning Inc.21,535,270$448,364,321
Exelon Corp.13,263,684$445,129,235
Aflac Inc.7,038,590$443,712,714
BB&T Corp.10,993,505$441,609,096
Archer-Daniels-Midland Co.10,172,769$441,396,447
State Street Corp.6,338,044$440,810,960
3684 Holdings
101-150 of 3684 | <Prev  Next>

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