Vanguard Total Stock Market Fund

as of:
Stock Holdings

3644 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund1,448,038,049$1,448,038,049
Bank of America Corp.203,131,742$3,004,318,464
General Electric Co.185,461,050$5,606,487,542
Microsoft Corp.147,753,460$7,830,933,380
Pfizer Inc.121,343,258$4,210,611,053
AT&T Inc.120,880,601$4,732,475,529
Apple Inc.103,570,611$10,342,561,214
Cisco Systems Inc.98,888,754$2,872,718,304
Intel Corp.92,903,438$2,934,819,606
Wells Fargo & Co.89,926,867$4,561,090,694
Exxon Mobil Corp.81,650,847$7,268,558,400
Verizon Communications Inc.80,064,249$4,075,270,274
Coca-Cola Co.76,590,867$3,415,952,668
Ford Motor Co.76,554,382$1,032,718,613
JPMorgan Chase & Co.72,218,401$4,713,695,033
Oracle Corp.61,940,019$2,489,988,764
Citigroup Inc.55,716,401$2,594,712,795
Merck & Co. Inc.54,923,956$3,090,021,765
Johnson & Johnson54,251,614$6,113,614,382
Procter & Gamble Co.53,176,593$4,309,431,097
Comcast Corp. Class A47,816,771$3,026,801,604
Facebook Inc. Class A42,854,444$5,091,536,492
Sirius XM Holdings Inc.40,126,170$161,307,203
Altria Group Inc.38,503,319$2,450,351,221
EMC Corp./MA38,128,588$1,065,694,035
Visa Inc. Class A37,717,241$2,977,399,005
Kinder Morgan Inc./DE37,296,733$674,324,933
Chevron Corp.37,019,171$3,738,936,271
Berkshire Hathaway Inc. Class B36,359,570$5,109,973,968
Hewlett Packard Enterprise Co.34,210,109$631,860,713
HP Inc.33,842,758$452,816,102
Bristol-Myers Squibb Co.32,813,175$2,352,704,648
US Bancorp32,485,164$1,391,014,722
AbbVie Inc.31,666,234$1,992,756,106
Wal-Mart Stores Inc.31,468,547$2,227,343,757
Philip Morris International Inc.30,453,609$3,005,162,136
QUALCOMM Inc.29,410,347$1,615,216,257
Mondelez International Inc. Class A29,291,109$1,303,161,439
Abbott Laboratories28,953,336$1,147,420,706
Morgan Stanley28,868,524$790,131,502
Walt Disney Co.28,857,586$2,863,249,683
PepsiCo Inc.28,415,919$2,874,838,525
Twenty-First Century Fox Inc. Class A27,864,584$804,729,186
Medtronic plc27,647,152$2,225,042,793
Starbucks Corp.27,580,201$1,513,877,233
Schlumberger Ltd.27,328,975$2,085,200,793
General Motors Co.27,294,695$853,778,060
Gilead Sciences Inc.26,863,300$2,338,718,898
NIKE Inc. Class B26,532,971$1,465,150,659
Boston Scientific Corp.26,494,949$601,700,292
3644 Holdings
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