Vanguard Total Stock Market Fund
as of:
Stock Holdings

3610 Holdings
1-50 of 3610 |   Next>

Holding Shares Market Value
Apple Inc.112,662,178$18,902,460,225
Microsoft Corp.189,957,882$17,337,455,890
Amazon.com Inc.10,151,619$14,692,844,243
Facebook Inc. Class A59,107,893$9,444,850,222
JPMorgan Chase & Co.85,597,224$9,413,126,723
Berkshire Hathaway Inc. Class B46,593,241$9,294,419,715
Johnson & Johnson66,198,846$8,483,382,115
Exxon Mobil Corp.104,531,661$7,799,107,227
Alphabet Inc. Class A7,332,719$7,605,056,184
Alphabet Inc. Class C7,366,690$7,600,877,075
Bank of America Corp.240,033,563$7,198,606,554
Intel Corp.115,167,847$5,997,941,472
Wells Fargo & Co.109,339,917$5,730,505,050
AT&T Inc.151,518,151$5,401,622,083
Chevron Corp.47,128,688$5,374,555,580
Visa Inc. Class A44,478,616$5,320,532,046
Pfizer Inc.146,877,414$5,212,679,423
Home Depot Inc.28,809,638$5,135,029,877
UnitedHealth Group Inc.23,876,517$5,109,574,638
Cisco Systems Inc.118,848,428$5,097,409,077
Procter & Gamble Co.62,193,140$4,930,672,139
Verizon Communications Inc.101,760,923$4,866,207,338
Boeing Co.14,517,780$4,760,089,706
Citigroup Inc.65,217,396$4,402,174,230
Coca-Cola Co.94,597,367$4,108,363,649
Mastercard Inc. Class A23,034,758$4,034,768,211
Comcast Corp. Class A114,352,773$3,907,434,253
PepsiCo Inc.35,034,272$3,823,990,789
Philip Morris International Inc.38,323,975$3,809,403,115
AbbVie Inc.39,181,759$3,708,553,489
Merck & Co. Inc.67,225,518$3,661,773,965
DowDuPont Inc.57,465,862$3,661,150,068
Walt Disney Co.35,237,243$3,539,228,687
International Business Machines Corp.22,840,661$3,504,442,617
Oracle Corp.76,593,415$3,504,148,736
Walmart Inc.36,548,932$3,251,758,480
3M Co.14,689,070$3,224,544,646
NVIDIA Corp.13,454,277$3,115,876,010
McDonald's Corp.19,665,655$3,075,315,129
Netflix Inc.10,170,065$3,003,728,698
Altria Group Inc.46,906,575$2,923,217,754
General Electric Co.213,956,230$2,884,129,980
Amgen Inc.16,492,621$2,811,662,028
Medtronic plc33,437,644$2,682,367,802
Honeywell International Inc.18,538,960$2,679,065,110
Adobe Systems Inc.12,128,984$2,620,830,863
Union Pacific Corp.19,224,377$2,584,333,000
Abbott Laboratories43,084,882$2,581,646,129
Bristol-Myers Squibb Co.40,288,284$2,548,233,963
Texas Instruments Inc.24,268,688$2,521,273,996
3610 Holdings
1-50 of 3610 |   Next>