Vanguard Total Stock Market Index Fund
as of:
Stock Holdings

4109 Holdings
1-50 of 4109 |   Next>

Holding Shares Market Value
Apple Inc.442,969,284$78,658,055,760
Microsoft Corp.213,382,662$71,764,856,884
AT&T Inc.202,950,408$4,992,580,037
Bank of America Corp.197,709,410$8,796,091,651
Pfizer Inc.159,524,035$9,419,894,267
Comcast Corp. Class A129,584,186$6,521,972,081
Exxon Mobil Corp.120,319,130$7,362,327,565
Intel Corp.115,586,332$5,952,696,098
Wells Fargo & Co.113,321,790$5,437,179,484
Ford Motor Co.111,552,791$2,316,951,469
Coca-Cola Co.110,482,879$6,541,691,266
Cisco Systems Inc./Delaware107,877,184$6,836,177,150
Verizon Communications Inc.107,366,928$5,578,785,579
JPMorgan Chase & Co.83,988,235$13,299,537,012
Johnson & Johnson74,819,509$12,799,373,405
Merck & Co. Inc.71,790,103$5,501,993,494
Procter & Gamble Co.68,774,496$11,250,132,056
NVIDIA Corp.67,499,669$19,852,327,650
Facebook Inc. Class A67,251,688$22,620,105,259
Bristol-Myers Squibb Co.63,083,990$3,933,286,777
CSX Corp.63,038,002$2,370,228,875
Kinder Morgan Inc.57,991,542$919,745,856
Citigroup Inc.56,391,721$3,405,496,031
PG&E Corp.56,007,922$679,936,173
NextEra Energy Inc.55,764,274$5,206,152,621
Chevron Corp.54,784,484$6,428,959,197
Altria Group Inc.52,205,320$2,474,010,115
Walt Disney Co.51,659,466$8,001,534,689
Abbott Laboratories50,255,433$7,072,949,640
AbbVie Inc.50,244,447$6,803,098,124
Palantir Technologies Inc. Class A48,769,447$888,091,630
Berkshire Hathaway Inc. Class B48,225,937$14,419,555,163
Visa Inc. Class A47,229,793$10,235,168,441
Oracle Corp.46,616,042$4,065,385,023
Philip Morris International Inc.44,245,226$4,203,296,470
Charles Schwab Corp.43,757,082$3,679,970,596
Raytheon Technologies Corp.42,537,683$3,660,792,999
Freeport-McMoRan Inc.41,735,180$1,741,609,061
Uber Technologies Inc.41,355,353$1,734,029,951
Annaly Capital Management Inc.41,142,564$321,734,850
Huntington Bancshares Inc./OH41,112,365$633,952,668
Morgan Stanley40,798,842$4,004,814,331
Boston Scientific Corp.40,504,440$1,720,628,611
Schlumberger Ltd.39,874,353$1,194,236,872
Mondelez International Inc. Class A39,640,610$2,628,568,849
Walmart Inc.39,624,211$5,733,227,090
PepsiCo Inc.39,294,953$6,825,926,286
Medtronic plc38,220,866$3,953,948,588
Truist Financial Corp.37,928,163$2,220,693,944
US Bancorp37,925,164$2,130,256,462
4109 Holdings
1-50 of 4109 |   Next>

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