Vanguard Total Stock Market Fund

as of:
Stock Holdings

3615 Holdings
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Holding Shares Market Value
Bank of America Corp.238,841,012$7,050,586,674
General Electric Co.209,030,693$3,647,585,593
Microsoft Corp.185,889,867$15,901,019,223
AT&T Inc.147,965,786$5,752,909,760
Pfizer Inc.143,596,574$5,201,067,910
Cisco Systems Inc.119,127,654$4,562,589,148
Intel Corp.112,809,258$5,207,275,349
Comcast Corp. Class A112,431,166$4,502,868,198
Apple Inc.111,385,671$18,849,797,103
Wells Fargo & Co.106,828,251$6,481,269,988
Exxon Mobil Corp.102,086,256$8,538,494,452
Verizon Communications Inc.98,328,595$5,204,532,533
Ford Motor Co.94,000,372$1,174,064,646
Coca-Cola Co.92,395,438$4,239,102,695
JPMorgan Chase & Co.83,637,226$8,944,164,948
Oracle Corp.75,440,549$3,566,829,157
Merck & Co. Inc.65,669,237$3,695,207,966
Johnson & Johnson64,720,544$9,042,754,408
Citigroup Inc.63,729,446$4,742,108,077
Procter & Gamble Co.61,125,747$5,616,233,634
Facebook Inc. Class A57,482,974$10,143,445,592
DowDuPont Inc.56,375,123$4,015,036,260
Altria Group Inc.46,001,334$3,284,955,261
Chevron Corp.45,755,089$5,728,079,592
Kinder Morgan Inc./DE45,747,055$826,649,284
Berkshire Hathaway Inc. Class B45,474,304$9,013,916,539
Visa Inc. Class A43,714,213$4,984,294,566
Abbott Laboratories41,934,913$2,393,225,485
HP Inc.40,251,647$845,687,103
Bristol-Myers Squibb Co.39,434,795$2,416,564,238
AbbVie Inc.38,462,505$3,719,708,859
Hewlett Packard Enterprise Co.38,432,692$551,893,457
US Bancorp37,988,582$2,035,428,224
Philip Morris International Inc.37,427,463$3,954,211,466
Wal-Mart Stores Inc.36,002,550$3,555,251,813
QUALCOMM Inc.35,533,167$2,274,833,351
Walt Disney Co.34,585,185$3,718,253,239
PepsiCo Inc.34,268,128$4,109,433,910
Mondelez International Inc. Class A34,215,437$1,464,420,704
Schlumberger Ltd.33,387,013$2,249,950,806
Sirius XM Holdings Inc.33,234,606$178,137,488
Freeport-McMoRan Inc.33,149,327$628,511,240
Boston Scientific Corp.33,093,479$820,387,344
Morgan Stanley32,672,577$1,714,330,115
Medtronic plc32,616,588$2,633,789,481
Starbucks Corp.32,582,996$1,871,241,460
Gilead Sciences Inc.31,482,378$2,255,397,560
NIKE Inc. Class B31,390,587$1,963,481,217
General Motors Co.29,092,915$1,192,518,586
Charles Schwab Corp.29,077,866$1,493,729,976
3615 Holdings
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