Vanguard Total Stock Market Fund

as of:
Stock Holdings

3594 Holdings
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Holding Shares Market Value
Apple Inc.109,444,767$16,277,720,196
Microsoft Corp.180,053,270$13,089,872,729
Amazon.com Inc.9,473,921$9,358,149,685
Facebook Inc. Class A55,144,855$9,333,266,709
Johnson & Johnson62,842,995$8,340,522,296
Exxon Mobil Corp.98,860,275$7,912,776,411
Berkshire Hathaway Inc. Class B43,775,553$7,659,408,508
JPMorgan Chase & Co.82,841,616$7,604,860,349
Alphabet Inc. Class A6,970,277$6,590,396,904
Alphabet Inc. Class C6,846,295$6,370,477,498
Wells Fargo & Co.104,869,210$5,656,645,187
Bank of America Corp.232,085,872$5,597,911,233
AT&T Inc.143,381,708$5,591,886,612
Procter & Gamble Co.59,723,953$5,424,129,411
General Electric Co.202,443,935$5,184,589,175
Chevron Corp.44,205,060$4,826,750,501
Pfizer Inc.139,161,802$4,614,605,354
Verizon Communications Inc.95,151,097$4,605,313,095
Comcast Corp. Class A110,309,789$4,462,030,965
Citigroup Inc.64,192,600$4,393,983,470
UnitedHealth Group Inc.22,478,861$4,311,670,328
Visa Inc. Class A43,062,963$4,287,348,596
Philip Morris International Inc.36,266,103$4,232,616,881
Home Depot Inc.27,889,938$4,172,334,725
Coca-Cola Co.89,798,585$4,116,367,136
Merck & Co. Inc.63,789,243$4,074,856,843
Intel Corp.109,834,614$3,895,833,759
PepsiCo Inc.33,371,780$3,891,483,266
Walt Disney Co.34,647,619$3,808,812,757
Cisco Systems Inc.116,473,638$3,663,095,915
Oracle Corp.71,940,721$3,592,000,200
Boeing Co.13,374,006$3,242,661,495
Vanguard Market Liquidity Fund30,333,347$3,033,941,409
International Business Machines Corp.20,809,885$3,010,566,063
Amgen Inc.17,140,460$2,991,181,675
McDonald's Corp.19,023,731$2,951,341,627
Altria Group Inc.45,133,645$2,932,332,916
Wal-Mart Stores Inc.35,385,752$2,830,506,302
Mastercard Inc. Class A22,137,461$2,829,167,516
3M Co.13,944,393$2,805,193,540
Market Liquidity Fund27,857,706$2,786,327,744
Medtronic plc31,961,829$2,683,834,781
AbbVie Inc.37,097,814$2,593,508,177
Celgene Corp.18,190,011$2,463,109,390
Honeywell International Inc.17,796,376$2,422,442,701
Priceline Group Inc.1,144,386$2,321,387,001
Gilead Sciences Inc.30,454,854$2,317,309,841
Broadcom Ltd.9,362,352$2,309,317,744
Schlumberger Ltd.32,412,092$2,223,469,511
Bristol-Myers Squibb Co.38,404,489$2,185,215,424
3594 Holdings
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