Vanguard Total Stock Market Fund

as of:
Stock Holdings

3635 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund2,252,979,723$2,252,979,723
Bank of America Corp.205,280,841$2,724,076,760
General Electric Co.182,865,746$5,756,613,684
Microsoft Corp.149,022,544$7,625,483,576
AT&T Inc.122,335,204$5,286,104,165
Pfizer Inc.120,689,469$4,249,476,203
Apple Inc.103,752,723$9,918,760,319
Cisco Systems Inc.100,384,266$2,880,024,592
Intel Corp.94,273,767$3,092,179,558
Wells Fargo & Co.91,215,174$4,317,214,185
Exxon Mobil Corp.82,406,965$7,724,828,899
Verizon Communications Inc.81,195,606$4,533,962,639
Ford Motor Co.78,012,117$980,612,311
Coca-Cola Co.77,508,481$3,513,459,444
JPMorgan Chase & Co.73,063,574$4,540,170,488
Oracle Corp.62,098,332$2,541,684,729
Citigroup Inc.58,627,484$2,485,219,047
Merck & Co. Inc.55,061,925$3,172,117,499
Johnson & Johnson54,772,218$6,643,870,043
Procter & Gamble Co.52,944,257$4,482,790,240
Comcast Corp. Class A48,088,860$3,134,912,783
Facebook Inc. Class A43,803,673$5,005,883,750
Altria Group Inc.38,917,522$2,683,752,317
EMC Corp./MA38,786,710$1,053,834,911
Visa Inc. Class A38,147,829$2,829,424,477
Kinder Morgan Inc./DE37,672,505$705,229,294
Chevron Corp.37,452,961$3,926,193,902
Berkshire Hathaway Inc. Class B36,924,127$5,346,244,348
Sirius XM Holdings Inc.34,995,268$138,231,309
HP Inc.34,646,619$434,815,068
Hewlett Packard Enterprise Co.34,288,859$626,457,454
Bristol-Myers Squibb Co.33,228,244$2,443,937,346
US Bancorp32,756,285$1,321,060,974
AbbVie Inc.32,218,933$1,994,674,142
Philip Morris International Inc.30,830,272$3,136,055,268
Mondelez International Inc. Class A29,370,162$1,336,636,073
QUALCOMM Inc.29,268,210$1,567,898,010
Abbott Laboratories29,216,946$1,148,518,147
Morgan Stanley29,066,962$755,159,673
Walt Disney Co.29,015,682$2,838,314,013
PepsiCo Inc.28,707,633$3,041,286,640
Wal-Mart Stores Inc.28,195,092$2,058,805,618
Medtronic plc27,943,526$2,424,659,751
Starbucks Corp.27,787,247$1,587,207,549
General Motors Co.27,658,726$782,741,946
Schlumberger Ltd.27,629,233$2,184,919,746
Boston Scientific Corp.26,945,476$629,715,774
Twenty-First Century Fox Inc. Class A26,857,730$726,501,597
Gilead Sciences Inc.26,530,771$2,213,196,917
NIKE Inc. Class B26,503,367$1,462,985,858
3635 Holdings
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