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Vanguard Total Stock Market Fund

as of:
Stock Holdings

3802 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund688,113,510$688,113,509
Bank of America Corp.185,331,431$3,313,725,986
General Electric Co.178,022,961$4,646,399,282
Microsoft Corp.128,630,854$6,007,060,882
Pfizer Inc.108,830,272$3,924,419,608
AT&T Inc.108,573,765$3,771,852,596
Apple Inc.101,756,939$12,343,116,701
Cisco Systems Inc.89,874,715$2,554,239,400
Intel Corp.83,852,087$2,427,517,919
Wells Fargo & Co.81,918,933$4,740,648,653
Exxon Mobil Corp.73,853,850$5,849,963,459
Verizon Communications Inc.72,105,042$3,373,794,915
Coca-Cola Co.69,323,219$2,847,797,837
Ford Motor Co.68,746,204$1,019,506,205
JPMorgan Chase & Co.65,595,909$4,495,287,644
Oracle Corp.57,892,491$2,312,226,091
Citigroup Inc.50,892,612$2,975,182,098
Merck & Co. Inc.49,947,013$2,944,875,886
Johnson & Johnson49,005,247$4,910,815,802
Procter & Gamble Co.47,933,444$3,676,495,155
Sirius XM Holdings Inc.39,627,846$156,926,270
Comcast Corp. Class A39,100,177$2,440,242,047
Facebook Inc. Class A37,735,820$3,547,544,438
Altria Group Inc.34,727,013$1,888,454,967
Visa Inc. Class A34,581,121$2,605,341,656
EMC Corp./MA34,392,678$924,819,111
Chevron Corp.33,211,338$2,938,539,186
Hewlett-Packard Co.32,152,057$981,280,780
Berkshire Hathaway Inc. Class B31,296,641$4,467,282,536
Kinder Morgan Inc./DE30,509,498$1,056,849,011
US Bancorp30,005,367$1,356,542,642
Twenty-First Century Fox Inc. Class A29,825,832$1,028,692,946
Bristol-Myers Squibb Co.29,446,838$1,932,890,446
AbbVie Inc.28,881,994$2,022,028,400
QUALCOMM Inc.28,812,198$1,855,217,429
Philip Morris International Inc.27,373,906$2,341,290,180
Mondelez International Inc. Class A27,336,637$1,233,702,428
Walt Disney Co.26,963,323$3,235,598,760
Abbott Laboratories26,407,542$1,338,598,304
PepsiCo Inc.26,097,594$2,514,503,182
Morgan Stanley26,050,945$1,011,818,704
Gilead Sciences Inc.25,959,802$3,059,622,264
Wal-Mart Stores Inc.25,708,607$1,850,505,532
General Motors Co.25,490,886$803,217,818
Medtronic plc25,158,778$1,972,196,607
Starbucks Corp.25,146,880$1,456,758,758
Regions Financial Corp.23,767,131$246,940,491
Boston Scientific Corp.23,676,627$410,552,712
American International Group Inc.23,556,259$1,510,427,327
Alcoa Inc.23,129,009$228,283,319
3802 Holdings
1-50 of 3802 |   Next>