Vanguard Total Stock Market Fund

as of:
Stock Holdings

3604 Holdings
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Holding Shares Market Value
Apple Inc.110,393,595$17,013,860,861
Microsoft Corp.182,905,703$13,624,645,816
Facebook Inc. Class A56,283,870$9,617,224,867
Amazon.com Inc.9,695,294$9,320,570,887
Johnson & Johnson63,750,018$8,288,139,840
Exxon Mobil Corp.100,615,219$8,248,435,654
Berkshire Hathaway Inc. Class B44,784,312$8,209,860,076
JPMorgan Chase & Co.83,562,412$7,981,045,970
Alphabet Inc. Class A7,036,201$6,851,289,638
Alphabet Inc. Class C7,060,172$6,771,481,567
Bank of America Corp.233,841,613$5,925,546,473
Wells Fargo & Co.106,088,355$5,850,772,778
AT&T Inc.145,785,468$5,710,416,782
Procter & Gamble Co.60,568,196$5,510,494,472
Chevron Corp.44,998,897$5,287,370,398
Pfizer Inc.141,246,250$5,042,491,125
General Electric Co.205,585,578$4,971,059,276
Verizon Communications Inc.96,867,483$4,793,971,734
Citigroup Inc.64,678,657$4,704,725,510
Home Depot Inc.27,992,452$4,578,445,449
Visa Inc. Class A43,434,332$4,571,029,100
UnitedHealth Group Inc.22,959,884$4,496,693,281
Comcast Corp. Class A111,701,104$4,298,258,482
Intel Corp.111,578,823$4,248,921,580
Merck & Co. Inc.64,780,382$4,147,887,859
Coca-Cola Co.91,167,304$4,103,440,353
Philip Morris International Inc.36,893,878$4,095,589,397
Cisco Systems Inc.118,721,567$3,992,606,298
DowDuPont Inc.55,473,900$3,840,458,097
PepsiCo Inc.33,861,664$3,773,205,220
Oracle Corp.73,665,444$3,561,724,217
Walt Disney Co.34,810,373$3,431,258,467
Boeing Co.13,333,182$3,389,428,196
AbbVie Inc.37,858,216$3,364,081,074
Amgen Inc.17,329,477$3,231,080,987
Mastercard Inc. Class A22,421,975$3,165,982,870
International Business Machines Corp.21,019,556$3,049,517,184
McDonald's Corp.19,233,745$3,013,543,167
3M Co.14,169,388$2,974,154,541
Vanguard Market Liquidity Fund29,368,825$2,937,469,840
Altria Group Inc.45,559,631$2,889,391,798
Market Liquidity Fund28,413,376$2,841,905,869
Wal-Mart Stores Inc.35,802,553$2,797,611,491
Celgene Corp.18,581,539$2,709,560,017
Honeywell International Inc.18,053,740$2,558,937,108
Gilead Sciences Inc.31,011,850$2,512,580,087
Medtronic plc32,271,189$2,509,730,369
Bristol-Myers Squibb Co.38,949,357$2,482,632,015
Broadcom Ltd.9,654,548$2,341,614,072
Schlumberger Ltd.32,870,819$2,293,068,333
3604 Holdings
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