Vanguard Total Stock Market Fund

as of:
Stock Holdings

3605 Holdings
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Holding Shares Market Value
Apple Inc.105,902,852$11,236,292,597
Microsoft Corp.151,976,366$8,732,561,990
Exxon Mobil Corp.84,409,854$7,355,474,678
Johnson & Johnson55,989,253$6,681,757,453
Amazon.com Inc.8,161,714$6,277,663,940
General Electric Co.187,191,101$5,847,849,995
Berkshire Hathaway Inc. Class B37,765,833$5,683,380,208
Facebook Inc. Class A44,690,846$5,636,409,498
AT&T Inc.125,315,054$5,122,879,408
JPMorgan Chase & Co.74,464,749$5,026,370,558
Procter & Gamble Co.54,195,423$4,731,802,382
Wells Fargo & Co.93,015,917$4,725,208,584
Alphabet Inc. Class A5,967,566$4,713,482,005
Alphabet Inc. Class C5,950,344$4,564,211,365
Verizon Communications Inc.82,960,097$4,341,301,876
Pfizer Inc.123,446,000$4,295,920,800
Chevron Corp.38,377,195$3,859,978,273
Merck & Co. Inc.56,329,579$3,536,934,265
Intel Corp.96,124,949$3,449,924,420
Coca-Cola Co.79,263,397$3,442,409,332
Home Depot Inc.25,320,768$3,396,021,404
Bank of America Corp.209,034,878$3,373,822,931
Cisco Systems Inc.102,425,902$3,220,270,359
Comcast Corp. Class A49,233,346$3,212,968,160
Philip Morris International Inc.31,574,836$3,155,273,361
PepsiCo Inc.29,414,110$3,139,956,243
Visa Inc. Class A38,764,810$3,136,073,129
Citigroup Inc.59,756,528$2,852,776,647
Walt Disney Co.29,736,438$2,808,903,933
International Business Machines Corp.17,596,269$2,795,695,219
UnitedHealth Group Inc.19,365,050$2,634,615,053
Altria Group Inc.39,859,462$2,634,311,844
Oracle Corp.63,356,479$2,611,554,064
Amgen Inc.15,281,666$2,598,800,120
Medtronic plc28,526,384$2,482,651,200
Schlumberger Ltd.28,327,469$2,237,870,051
3M Co.12,354,392$2,214,401,222
Gilead Sciences Inc.27,096,840$2,123,850,319
AbbVie Inc.32,901,844$2,109,008,200
McDonald's Corp.17,866,160$2,066,400,066
Wal-Mart Stores Inc.28,732,798$2,052,671,089
CVS Health Corp.21,846,379$2,040,451,799
Bristol-Myers Squibb Co.33,971,830$1,949,643,324
MasterCard Inc. Class A19,748,503$1,908,297,845
Allergan plc8,050,306$1,888,118,769
QUALCOMM Inc.29,894,395$1,885,439,493
Honeywell International Inc.15,528,269$1,812,304,275
United Technologies Corp.16,197,542$1,723,904,395
Celgene Corp.15,746,139$1,680,742,877
Union Pacific Corp.17,110,376$1,634,554,219
3605 Holdings
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