Vanguard Total Stock Market Fund

as of:
Stock Holdings

3654 Holdings
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Holding Shares Market Value
Vanguard Market Liquidity Fund1,829,884,957$1,829,884,957
Bank of America Corp.200,500,938$2,919,293,657
General Electric Co.183,311,772$5,636,836,989
Microsoft Corp.145,960,649$7,279,057,566
Pfizer Inc.119,867,784$3,920,875,215
AT&T Inc.119,429,624$4,636,258,004
Apple Inc.102,293,956$9,589,035,435
Cisco Systems Inc.97,752,701$2,687,221,750
Intel Corp.91,811,224$2,780,043,863
Wells Fargo & Co.88,808,520$4,438,649,830
Exxon Mobil Corp.80,669,868$7,131,216,331
Verizon Communications Inc.79,119,745$4,030,359,810
Ford Motor Co.75,867,012$1,028,756,683
Coca-Cola Co.75,724,730$3,392,467,904
JPMorgan Chase & Co.71,276,158$4,504,653,186
Oracle Corp.61,219,323$2,440,202,215
Citigroup Inc.54,974,922$2,544,239,390
Merck & Co. Inc.54,251,888$2,975,173,538
Johnson & Johnson53,586,965$6,006,027,037
Procter & Gamble Co.52,557,255$4,210,887,271
Comcast Corp. Class A47,248,271$2,870,804,946
Facebook Inc. Class A42,343,563$4,978,756,138
Sirius XM Holdings Inc.39,975,258$157,902,269
Altria Group Inc.37,972,755$2,381,271,466
EMC Corp./MA37,675,085$983,696,469
Visa Inc. Class A37,319,381$2,882,548,988
Kinder Morgan Inc./DE36,830,886$654,116,535
Chevron Corp.36,577,391$3,737,477,812
Berkshire Hathaway Inc. Class B35,900,533$5,222,809,541
Hewlett Packard Enterprise Co.33,795,229$563,028,515
HP Inc.33,526,166$411,366,057
Bristol-Myers Squibb Co.32,427,341$2,340,605,473
US Bancorp32,100,572$1,370,373,419
AbbVie Inc.31,288,798$1,908,616,678
Wal-Mart Stores Inc.31,093,525$2,079,224,017
Philip Morris International Inc.30,069,175$2,950,387,451
QUALCOMM Inc.29,031,406$1,466,666,631
Mondelez International Inc. Class A28,960,995$1,244,164,345
Abbott Laboratories28,619,513$1,113,299,056
Morgan Stanley28,554,383$772,681,604
Walt Disney Co.28,523,685$2,945,355,713
PepsiCo Inc.28,068,959$2,889,980,019
Twenty-First Century Fox Inc. Class A27,801,679$841,278,807
Medtronic plc27,326,787$2,162,915,191
Starbucks Corp.27,233,485$1,531,338,862
Schlumberger Ltd.26,998,606$2,169,068,006
General Motors Co.26,990,972$858,312,910
Gilead Sciences Inc.26,542,645$2,341,326,715
NIKE Inc. Class B26,238,023$1,546,469,076
Boston Scientific Corp.26,180,837$573,883,947
3654 Holdings
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