Vanguard Total Stock Market Index Fund
as of:
Stock Holdings

3676 Holdings
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Holding Shares Market Value
Apple Inc.461,157,515$79,079,290,672
Amazon.com Inc.293,893,948$53,012,590,340
Microsoft Corp.233,572,873$98,268,779,129
AT&T Inc.224,845,917$3,957,288,139
Bank of America Corp.210,276,958$7,973,702,247
Alphabet Inc. Class A185,367,558$27,977,525,529
Pfizer Inc.177,584,686$4,927,975,037
Alphabet Inc. Class C151,427,489$23,056,349,475
Walmart Inc.139,595,214$8,399,444,026
Intel Corp.132,922,086$5,871,168,539
Exxon Mobil Corp.124,819,437$14,509,011,357
Comcast Corp. Class A124,526,243$5,398,212,634
Ford Motor Co.122,895,700$1,632,054,896
Coca-Cola Co.121,901,494$7,457,933,403
Verizon Communications Inc.118,980,352$4,992,415,570
Cisco Systems Inc./Delaware114,491,123$5,714,251,949
Wells Fargo & Co.112,422,641$6,516,016,272
JPMorgan Chase & Co.90,511,323$18,129,417,997
Tesla Inc.85,118,064$14,962,904,471
PG&E Corp.82,229,880$1,378,172,789
Merck & Co. Inc.79,663,326$10,511,575,866
Johnson & Johnson75,712,337$11,976,934,590
NVIDIA Corp.74,661,112$67,460,794,359
Procter & Gamble Co.73,957,373$11,999,583,769
Facebook Inc. Class A69,161,280$33,583,334,342
Warner Bros Discovery Inc.69,037,503$602,697,401
NextEra Energy Inc.63,623,193$4,066,158,265
Bristol-Myers Squibb Co.63,591,188$3,448,550,125
Palantir Technologies Inc. Class A63,061,030$1,451,034,300
Uber Technologies Inc.62,014,523$4,774,498,126
CSX Corp.61,557,830$2,281,948,758
Kinder Morgan Inc.59,145,245$1,084,723,793
Walt Disney Co.57,674,641$7,057,069,073
Citigroup Inc.56,809,739$3,592,647,894
Chevron Corp.56,370,682$8,891,911,379
Berkshire Hathaway Inc. Class B55,747,047$23,442,748,204
AbbVie Inc.55,525,848$10,111,256,921
Altria Group Inc.55,370,514$2,415,261,821
Abbott Laboratories54,571,554$6,202,602,828
Kenvue Inc.54,246,074$1,164,120,748
Oracle Corp.51,829,761$6,510,336,279
Advanced Micro Devices Inc.50,798,764$9,168,668,914
Visa Inc. Class A49,299,126$13,758,400,084
US Bancorp49,006,423$2,190,587,108
Philip Morris International Inc.48,814,491$4,472,383,665
Boston Scientific Corp.46,134,940$3,159,782,041
Huntington Bancshares Inc./OH45,416,360$633,558,222
Freeport-McMoRan Inc.45,053,966$2,118,437,481
Schlumberger Ltd.45,037,352$2,468,497,263
Charles Schwab Corp.44,543,516$3,222,277,947
3676 Holdings
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