Vanguard Total Stock Market Fund

as of:
Stock Holdings

3601 Holdings
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Holding Shares Market Value
Bank of America Corp.236,492,179$6,661,984,682
General Electric Co.207,829,703$3,801,205,268
Microsoft Corp.184,899,827$15,563,018,439
AT&T Inc.147,416,539$5,363,013,689
Pfizer Inc.142,760,606$5,176,499,574
Cisco Systems Inc.120,026,016$4,476,970,397
Comcast Corp. Class A112,931,785$4,239,459,209
Intel Corp.112,790,544$5,057,527,993
Apple Inc.111,586,945$19,176,216,498
Wells Fargo & Co.107,261,202$6,057,040,077
Exxon Mobil Corp.101,702,821$8,470,827,961
Verizon Communications Inc.97,955,338$4,984,947,151
Ford Motor Co.93,662,847$1,172,658,844
Coca-Cola Co.92,160,919$4,218,205,263
JPMorgan Chase & Co.84,485,854$8,830,461,460
Oracle Corp.74,473,967$3,653,692,821
Merck & Co. Inc.65,466,027$3,618,307,312
Citigroup Inc.65,406,650$4,938,202,075
Johnson & Johnson64,429,890$8,977,016,574
Procter & Gamble Co.61,220,652$5,509,246,473
Facebook Inc. Class A56,898,369$10,081,253,019
DowDuPont Inc.56,078,494$4,035,408,428
Altria Group Inc.46,052,469$3,123,738,972
Kinder Morgan Inc./DE45,534,027$784,551,285
Chevron Corp.45,483,605$5,412,094,159
Berkshire Hathaway Inc. Class B45,283,797$8,740,225,659
Visa Inc. Class A43,925,769$4,945,602,332
Abbott Laboratories41,704,128$2,350,861,695
HP Inc.40,368,924$865,913,420
Hewlett Packard Enterprise Co.39,388,370$549,467,762
Bristol-Myers Squibb Co.39,365,474$2,487,504,302
AbbVie Inc.38,266,062$3,708,746,729
US Bancorp38,169,988$2,105,074,838
Philip Morris International Inc.37,288,517$3,831,395,122
Wal-Mart Stores Inc.36,187,691$3,518,529,196
QUALCOMM Inc.35,429,815$2,350,413,927
Walt Disney Co.35,206,949$3,690,392,394
Mondelez International Inc. Class A34,376,572$1,476,130,002
PepsiCo Inc.34,222,553$3,987,611,876
Sirius XM Holdings Inc.33,368,505$183,526,778
Schlumberger Ltd.33,203,947$2,086,868,069
Morgan Stanley33,071,615$1,706,826,050
Starbucks Corp.32,922,448$1,903,575,943
Boston Scientific Corp.32,917,851$865,081,124
Medtronic plc32,618,885$2,678,989,025
NIKE Inc. Class B31,493,636$1,902,845,487
Gilead Sciences Inc.31,346,724$2,344,108,021
Freeport-McMoRan Inc.31,269,643$435,273,431
General Motors Co.29,733,109$1,281,199,667
ConocoPhillips29,202,153$1,485,805,545
3601 Holdings
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