Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3601 Holdings
101-150 of 3601 | <Prev  Next>

Holding Shares Market Value
Occidental Petroleum Corp.18,342,136$1,293,120,588
Bank of New York Mellon Corp.23,557,925$1,289,560,815
Northrop Grumman Corp.4,177,965$1,284,306,441
General Motors Co.29,733,109$1,281,199,667
Cigna Corp.6,044,470$1,279,795,633
General Dynamics Corp.6,110,232$1,265,795,661
Monsanto Co.10,551,746$1,248,693,622
Becton Dickinson and Co.5,459,452$1,245,901,541
Southern Co.23,893,261$1,223,334,963
CME Group Inc.8,157,891$1,219,931,020
Simon Property Group Inc.7,463,424$1,207,208,832
Kraft Heinz Co.14,625,809$1,190,102,078
Illinois Tool Works Inc.7,023,222$1,188,680,324
Prudential Financial Inc.10,251,254$1,187,505,263
Ford Motor Co.93,662,847$1,172,658,844
CSX Corp.20,823,820$1,160,927,965
Automatic Data Processing Inc.10,133,303$1,159,857,861
Deere & Co.7,676,595$1,150,414,527
Stryker Corp.7,180,790$1,120,203,240
TJX Cos. Inc.14,657,377$1,107,364,832
Crown Castle International Corp.9,750,321$1,101,786,273
MetLife Inc.20,413,971$1,095,821,963
Micron Technology Inc.25,398,741$1,076,652,631
Activision Blizzard Inc.17,210,624$1,073,942,938
Intuitive Surgical Inc.2,679,275$1,071,120,560
Capital One Financial Corp.11,627,056$1,069,689,152
Praxair Inc.6,865,757$1,056,777,317
Marsh & McLennan Cos. Inc.12,308,007$1,033,011,028
Cognizant Technology Solutions Corp. Class A14,171,708 $1,024,331,054
S&P Global Inc.6,169,499$1,020,928,695
Phillips 6610,429,667$1,017,518,313
Kimberly-Clark Corp.8,478,770$1,015,417,495
Intercontinental Exchange Inc.14,122,570$1,009,057,627
Emerson Electric Co.15,366,818$996,077,143
Tesla Inc.3,204,651$989,756,461
Norfolk Southern Corp.6,915,000$958,626,450
BB&T Corp.19,395,348$958,518,098
Exelon Corp.22,217,608$926,696,430
Intuit Inc.5,839,309$918,056,161
American Electric Power Co. Inc.11,802,169$916,202,379
Valero Energy Corp.10,592,638$906,941,666
Humana Inc.3,468,702$904,845,604
Express Scripts Holding Co.13,867,804$903,903,465
Travelers Cos. Inc.6,618,566$897,278,993
Allstate Corp.8,668,526$889,910,879
Vertex Pharmaceuticals Inc.6,051,445$873,162,999
Equinix Inc.1,870,586$868,868,491
Waste Management Inc.10,561,893$868,715,699
HP Inc.40,368,924$865,913,420
Boston Scientific Corp.32,917,851$865,081,124
3601 Holdings
101-150 of 3601 | <Prev  Next>