Vanguard Total Stock Market Index Fund
as of:
Stock Holdings

4109 Holdings
51-100 of 4109 | <Prev  Next>

Holding Shares Market Value
Texas Instruments Inc.26,246,724$4,946,720,072
Advanced Micro Devices Inc.34,321,894$4,938,920,547
Union Pacific Corp.18,270,664$4,602,928,382
United Parcel Service Inc. Class B20,722,276$4,441,612,638
Philip Morris International Inc.44,245,226$4,203,296,470
Honeywell International Inc.19,564,783$4,079,452,903
Oracle Corp.46,616,042$4,065,385,023
Applied Materials Inc.25,662,203$4,038,204,264
Morgan Stanley40,798,842$4,004,814,331
Medtronic plc38,220,866$3,953,948,588
Bristol-Myers Squibb Co.63,083,990$3,933,286,777
Starbucks Corp.33,341,115$3,899,910,222
CVS Health Corp.37,517,401$3,870,295,087
American Tower Corp.12,942,885$3,785,793,863
Charles Schwab Corp.43,757,082$3,679,970,596
ServiceNow Inc.5,655,685$3,671,161,690
Raytheon Technologies Corp.42,537,683$3,660,792,999
Intuitive Surgical Inc.10,152,895$3,647,935,174
Goldman Sachs Group Inc.9,533,979$3,647,223,666
Amgen Inc.16,008,641$3,601,463,966
BlackRock Inc.3,885,635$3,557,531,981
Prologis Inc.21,022,435$3,539,337,157
International Business Machines Corp.25,486,833$3,406,570,099
Citigroup Inc.56,391,721$3,405,496,031
Boeing Co.16,703,485$3,362,745,600
Zoetis Inc.13,446,588$3,281,370,870
S&P Global Inc.6,849,223$3,232,353,810
Anthem Inc.6,898,478$3,197,720,492
Caterpillar Inc.15,374,036$3,178,428,203
Target Corp.13,616,463$3,151,394,197
Micron Technology Inc.31,792,741$2,961,493,824
Automatic Data Processing Inc.11,975,413$2,952,897,338
General Electric Co.31,211,377$2,948,538,785
3M Co.16,376,884$2,909,025,905
Lam Research Corp.4,001,637$2,877,777,249
Booking Holdings Inc.1,166,961$2,799,807,840
Deere & Co.7,931,030$2,719,470,877
ConocoPhillips37,485,339$2,705,691,769
American Express Co.16,510,377$2,701,097,677
Analog Devices Inc.15,273,478$2,684,619,228
Mondelez International Inc. Class A39,640,610$2,628,568,849
Snowflake Inc. Class A7,696,609$2,607,226,299
Gilead Sciences Inc.35,651,267$2,588,638,497
Stryker Corp.9,648,803$2,580,282,898
Crown Castle International Corp.12,282,528$2,563,854,895
Blackstone Group LP Class A19,521,962$2,525,946,663
Marsh & McLennan Cos. Inc.14,348,153$2,493,995,954
Moderna Inc.9,794,908$2,487,710,734
Altria Group Inc.52,205,320$2,474,010,115
TJX Cos. Inc.32,467,240$2,464,912,861
4109 Holdings
51-100 of 4109 | <Prev  Next>

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