Vanguard Total Stock Market Fund

as of:
Stock Holdings

3620 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund1,998,856,391$1,998,856,391
Bank of America Corp.206,197,264$2,987,798,355
General Electric Co.184,657,711$5,750,241,121
Microsoft Corp.149,893,028$8,495,936,827
AT&T Inc.123,573,182$5,349,483,049
Pfizer Inc.121,760,897$4,491,759,490
Apple Inc.104,456,293$10,885,390,294
Cisco Systems Inc.100,996,451$3,083,421,649
Intel Corp.94,827,485$3,305,686,127
Wells Fargo & Co.91,741,413$4,400,835,582
Exxon Mobil Corp.83,256,013$7,405,622,356
Verizon Communications Inc.81,831,082$4,534,260,254
Ford Motor Co.78,356,377$991,991,733
Coca-Cola Co.78,193,369$3,411,576,689
JPMorgan Chase & Co.73,424,416$4,696,959,892
Oracle Corp.62,467,730$2,563,675,639
Citigroup Inc.58,923,502$2,581,438,623
Merck & Co. Inc.55,553,414$3,258,763,265
Johnson & Johnson55,221,540$6,915,393,454
Procter & Gamble Co.53,488,052$4,578,042,371
Comcast Corp. Class A48,558,131$3,265,534,310
Facebook Inc. Class A44,082,504$5,463,585,546
Altria Group Inc.39,342,395$2,663,480,142
EMC Corp.39,309,472$1,111,671,868
Visa Inc. Class A38,254,555$2,985,768,018
Kinder Morgan Inc./DE38,091,729$774,404,851
Chevron Corp.37,850,802$3,878,950,189
Berkshire Hathaway Inc. Class B37,223,835$5,370,282,675
Sirius XM Holdings Inc.35,172,185$154,405,892
HP Inc.34,731,369$486,586,480
Hewlett Packard Enterprise Co.34,401,863$723,127,160
Bristol-Myers Squibb Co.33,494,567$2,505,728,557
US Bancorp32,968,256$1,390,271,356
AbbVie Inc.32,437,075$2,148,307,477
Philip Morris International Inc.31,147,984$3,122,896,876
Mondelez International Inc. Class A29,612,885$1,302,374,682
Abbott Laboratories29,503,615$1,320,286,771
QUALCOMM Inc.29,490,928$1,845,542,274
Walt Disney Co.29,353,194$2,816,438,964
Morgan Stanley29,137,532$837,121,294
PepsiCo Inc.29,021,358$3,161,006,313
Wal-Mart Stores Inc.28,345,539$2,068,373,981
Medtronic plc28,124,506$2,464,550,461
Starbucks Corp.27,963,884$1,623,303,466
Schlumberger Ltd.27,940,842$2,249,796,598
General Motors Co.27,833,621$877,872,406
Boston Scientific Corp.27,210,137$660,662,126
Twenty-First Century Fox Inc. Class A26,910,840$716,904,778
NIKE Inc. Class B26,751,091$1,484,685,551
Gilead Sciences Inc.26,722,222$2,123,614,982
3620 Holdings
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