Vanguard Total Stock Market Fund

as of:
Stock Holdings

3572 Holdings
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Holding Shares Market Value
Apple Inc.114,057,082$17,423,359,846
Microsoft Corp.168,067,534$11,737,836,575
Amazon.com Inc.9,286,747$9,236,784,301
Facebook Inc. Class A53,997,577$8,178,473,012
Johnson & Johnson62,276,283$7,986,933,295
Exxon Mobil Corp.95,483,886$7,686,452,823
Berkshire Hathaway Inc. Class B42,796,516$7,073,408,164
Alphabet Inc. Class A6,838,119$6,749,838,884
JPMorgan Chase & Co.81,927,502$6,730,344,289
Alphabet Inc. Class C6,730,460$6,493,951,636
General Electric Co.202,492,186$5,544,236,053
AT&T Inc.140,567,961$5,416,083,537
Wells Fargo & Co.103,484,048$5,292,174,215
Procter & Gamble Co.58,577,635$5,160,103,867
Bank of America Corp.229,462,521$5,142,255,096
Comcast Corp. Class A108,462,571$4,521,804,585
Chevron Corp.43,294,144$4,480,078,021
Pfizer Inc.136,221,680$4,447,637,852
Verizon Communications Inc.93,274,000$4,350,299,360
Home Depot Inc.27,891,437$4,281,614,494
Philip Morris International Inc.35,512,015$4,254,339,397
Merck & Co. Inc.63,077,088$4,106,949,200
Visa Inc. Class A42,545,277$4,051,586,729
Coca-Cola Co.88,839,817$4,039,546,479
Citigroup Inc.65,253,737$3,950,461,238
Intel Corp.108,254,436$3,909,067,684
UnitedHealth Group Inc.22,023,902$3,858,147,152
PepsiCo Inc.32,680,779$3,819,402,642
Walt Disney Co.34,443,765$3,717,859,994
Cisco Systems Inc.114,665,482$3,615,402,647
Altria Group Inc.44,484,133$3,355,882,994
Oracle Corp.70,513,953$3,200,628,327
International Business Machines Corp.19,590,275$2,990,063,673
McDonald's Corp.19,030,534$2,871,517,275
Market Liquidity Fund27,966,171$2,797,176,444
3M Co.13,665,425$2,794,169,450
Wal-Mart Stores Inc.35,190,797$2,765,996,644
Mastercard Inc. Class A21,830,870$2,682,577,306
Medtronic plc31,481,252$2,653,239,919
Amgen Inc.16,848,704$2,615,592,809
Boeing Co.13,412,817$2,516,646,854
Vanguard Market Liquidity Fund24,933,078$2,493,806,426
AbbVie Inc.36,476,972$2,408,209,691
Honeywell International Inc.17,432,020$2,318,284,340
Schlumberger Ltd.31,708,414$2,206,588,530
Broadcom Ltd.9,174,760$2,197,171,525
Priceline Group Inc.1,130,849$2,122,705,349
Bristol-Myers Squibb Co.38,283,936$2,065,418,347
Union Pacific Corp.18,626,937$2,054,551,151
Celgene Corp.17,786,716$2,034,978,178
3572 Holdings
1-50 of 3572 |   Next>