Funds, Stocks & ETFs  »  Vanguard ETFs  »  Vanguard ETF Profile

Vanguard Total Stock Market Fund

as of:
Stock Holdings

3783 Holdings
1-50 of 3783 |   Next>

Holding Shares Market Value
Apple Inc.102,204,864$13,129,236,829
Exxon Mobil Corp.73,799,590$6,534,215,699
Microsoft Corp.129,282,982$5,669,058,761
Johnson & Johnson48,783,030$5,000,748,405
Wells Fargo & Co.90,419,870$4,954,104,677
General Electric Co.174,995,693$4,548,138,061
Berkshire Hathaway Inc. Class B30,783,585$4,537,808,265
Procter & Gamble Co.47,105,291$4,010,073,423
JPMorgan Chase & Co.65,144,018$3,992,025,423
Pfizer Inc.109,792,784$3,768,088,347
Verizon Communications Inc.72,314,750$3,575,964,388
Chevron Corp.32,947,775$3,514,868,637
AT&T Inc.90,391,796$3,123,940,470
Coca-Cola Co.68,704,198$2,974,891,773
Merck & Co. Inc.49,688,519$2,908,765,902
Facebook Inc. Class A36,815,798$2,907,343,568
Bank of America Corp.183,264,458$2,897,411,081
Google Inc. Class C5,022,840$2,804,753,856
Intel Corp.84,266,919$2,801,875,057
Google Inc. Class A4,967,140$2,794,661,978
International Business Machines Corp.17,247,121$2,792,998,775
Walt Disney Co.26,594,842$2,767,991,155
Gilead Sciences Inc.26,290,573$2,721,863,023
Home Depot Inc.22,964,082$2,635,128,410
Cisco Systems Inc.89,109,868$2,629,632,205
Citigroup Inc.50,154,653$2,629,106,910
PepsiCo Inc.26,089,349$2,582,323,764
Oracle Corp.57,922,670$2,538,171,399
Amazon.com Inc.6,454,700$2,453,818,752
Comcast Corp. Class A39,963,020$2,373,004,128
Wal-Mart Stores Inc.28,089,247$2,357,530,501
Visa Inc. Class A8,594,589$2,331,797,942
Philip Morris International Inc.27,076,361$2,246,254,909
QUALCOMM Inc.28,973,399$2,100,861,161
Amgen Inc.13,255,426$2,090,645,789
CVS Health Corp.19,975,073$2,074,810,833
Altria Group Inc.34,503,704$1,942,213,498
Medtronic plc24,695,651$1,916,135,561
UnitedHealth Group Inc.16,726,481$1,900,630,036
Schlumberger Ltd.22,424,904$1,887,279,921
3M Co.11,169,797$1,883,786,264
Union Pacific Corp.15,495,276$1,863,461,892
United Technologies Corp.15,092,530$1,839,930,332
Bristol-Myers Squibb Co.28,913,101$1,761,386,113
Celgene Corp.13,917,942$1,691,447,491
Boeing Co.11,180,746$1,686,615,534
Biogen Idec Inc.4,115,229$1,685,556,646
McDonald's Corp.16,956,827$1,677,030,190
AbbVie Inc.26,381,035$1,596,052,618
MasterCard Inc. Class A17,453,551$1,573,088,552
3783 Holdings
1-50 of 3783 |   Next>