Vanguard Total Stock Market Index Fund
as of:
Stock Holdings

3693 Holdings
1-50 of 3693 |   Next>

Holding Shares Market Value
Apple Inc.463,362,688$83,752,805,856
Amazon.com Inc.291,677,660$51,556,943,182
Microsoft Corp.233,083,497$96,412,657,699
AT&T Inc.224,465,241$3,800,196,530
Bank of America Corp.210,923,320$7,281,073,006
Alphabet Inc. Class A185,595,732$25,697,585,053
Pfizer Inc.177,149,122$4,705,080,680
Alphabet Inc. Class C152,575,427$21,326,993,186
Walmart Inc.139,272,473$8,162,759,643
Intel Corp.132,242,025$5,693,019,176
Comcast Corp. Class A125,886,035$5,394,216,600
Exxon Mobil Corp.125,643,522$13,132,260,919
Ford Motor Co.123,249,767$1,533,227,101
Coca-Cola Co.121,967,045$7,320,462,041
Verizon Communications Inc.118,693,265$4,750,104,465
Cisco Systems Inc./Delaware114,635,281$5,544,908,542
Wells Fargo & Co.113,869,422$6,330,001,169
JPMorgan Chase & Co.90,655,833$16,867,424,288
Tesla Inc.84,749,961$17,109,322,127
PG&E Corp.79,836,398$1,332,469,483
Merck & Co. Inc.79,494,725$10,107,754,284
Johnson & Johnson75,507,605$12,185,417,295
Procter & Gamble Co.73,915,155$11,748,074,736
NVIDIA Corp.73,588,684$58,217,479,686
Facebook Inc. Class A69,609,273$34,117,592,975
Warner Bros Discovery Inc.68,791,996$604,681,645
Bristol-Myers Squibb Co.63,823,264$3,239,030,648
NextEra Energy Inc.63,489,838$3,504,004,159
CSX Corp.61,967,141$2,351,033,330
Palantir Technologies Inc. Class A61,667,692$1,546,625,715
Uber Technologies Inc.61,317,743$4,874,760,569
Kinder Morgan Inc.59,224,013$1,029,905,586
Walt Disney Co.57,407,339$6,405,510,886
Citigroup Inc.56,298,245$3,123,989,615
Chevron Corp.56,238,225$8,548,772,582
Berkshire Hathaway Inc. Class B55,765,729$22,830,489,453
AbbVie Inc.55,383,354$9,750,239,472
Altria Group Inc.55,352,946$2,264,489,021
Abbott Laboratories54,459,809$6,461,111,740
Kenvue Inc.54,062,456$1,027,186,664
Oracle Corp.51,548,747$5,756,964,065
Advanced Micro Devices Inc.50,669,949$9,755,485,281
Visa Inc. Class A49,129,850$13,886,060,804
US Bancorp48,839,540$2,049,307,098
Philip Morris International Inc.48,700,141$4,381,064,684
Boston Scientific Corp.45,976,851$3,044,127,305
Ginkgo Bioworks Holdings Inc.45,407,644$69,019,619
Huntington Bancshares Inc./OH45,269,837$590,318,674
RTX Corp.45,111,984$4,045,191,605
Freeport-McMoRan Inc.45,021,929$1,702,279,135
3693 Holdings
1-50 of 3693 |   Next>

© 1995–2024  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  
Security  |  Prospectuses