Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3572 Holdings
101-150 of 3572 | <Prev  Next>

Holding Shares Market Value
Southern Co.22,461,458$1,136,774,389
Applied Materials Inc.24,692,133$1,132,875,062
Simon Property Group Inc.7,183,218$1,108,011,377
Anthem Inc.6,052,174$1,103,613,929
Raytheon Co.6,701,552$1,099,121,544
Bank of New York Mellon Corp.22,956,364$1,081,703,872
TJX Cos. Inc.14,176,940$1,066,247,657
FedEx Corp.5,489,347$1,064,055,022
Kimberly-Clark Corp.8,156,506$1,058,143,523
Charles Schwab Corp.27,229,178$1,055,130,648
Northrop Grumman Corp.3,994,665$1,035,497,061
Prudential Financial Inc.9,814,186$1,029,017,402
Occidental Petroleum Corp.17,383,570$1,024,413,780
MetLife Inc.20,047,070$1,014,181,271
Automatic Data Processing Inc.9,761,651$999,300,213
Ford Motor Co.89,371,848$993,814,950
General Motors Co.29,162,028$989,467,610
BlackRock Inc.2,407,274$985,152,812
Stryker Corp.6,835,792$977,244,824
Becton Dickinson and Co.5,160,315$976,486,407
Cigna Corp.5,874,895$947,209,321
Activision Blizzard Inc.16,160,823$946,701,011
Tesla Inc.2,762,175$941,929,297
Cognizant Technology Solutions Corp. Class A13,885,060 $929,049,365
Marsh & McLennan Cos. Inc.11,771,172$912,972,100
Illinois Tool Works Inc.6,374,156$900,158,310
Johnson Controls International plc21,491,959$897,504,208
Deere & Co.7,285,001$892,121,222
Emerson Electric Co.14,743,086$871,611,244
Yahoo! Inc.17,227,839$866,904,858
CME Group Inc.7,375,408$865,061,604
Praxair Inc.6,534,294$864,421,753
Capital One Financial Corp.11,017,750$847,485,330
Boston Scientific Corp.31,247,854$844,629,494
S&P Global Inc.5,912,762$844,401,541
Halliburton Co.18,609,426$840,959,961
Crown Castle International Corp.8,243,640$837,966,006
Express Scripts Holding Co.13,861,711$828,237,232
Norfolk Southern Corp.6,648,274$824,585,424
Regeneron Pharmaceuticals Inc.1,786,162$819,955,528
Intercontinental Exchange Inc.13,618,724$819,710,998
eBay Inc.23,727,322$813,847,145
Kinder Morgan Inc./DE43,300,280$812,313,253
Intuitive Surgical Inc.886,569$810,926,933
American Electric Power Co. Inc.11,255,448$807,916,057
Southwest Airlines Co.13,367,768$803,269,179
Ecolab Inc.6,015,332$799,076,703
Electronic Arts Inc.7,050,224$799,001,886
Travelers Cos. Inc.6,396,323$798,580,927
Eaton Corp. plc10,284,076$795,781,801
3572 Holdings
101-150 of 3572 | <Prev  Next>