Vanguard Total Stock Market Index Fund
as of:
Stock Holdings

3676 Holdings
51-100 of 3676 | <Prev  Next>

Holding Shares Market Value
Texas Instruments Inc.28,594,599$4,981,465,092
Pfizer Inc.177,584,686$4,927,975,037
ServiceNow Inc.6,441,840$4,911,258,816
Amgen Inc.16,848,245$4,790,293,018
Uber Technologies Inc.62,014,523$4,774,498,126
Union Pacific Corp.19,177,778$4,716,390,944
ConocoPhillips36,989,493$4,708,022,669
Lowe's Cos. Inc.18,087,169$4,607,344,559
Philip Morris International Inc.48,814,491$4,472,383,665
Intuitive Surgical Inc.11,073,371$4,419,271,632
Honeywell International Inc.20,508,556$4,209,381,119
S&P Global Inc.9,871,140$4,199,676,513
Micron Technology Inc.34,712,665$4,092,276,077
RTX Corp.41,710,800$4,068,054,324
NextEra Energy Inc.63,623,193$4,066,158,265
Lam Research Corp.4,120,561$4,003,413,451
AT&T Inc.224,845,917$3,957,288,139
Eaton Corp. plc12,553,790$3,925,319,057
Goldman Sachs Group Inc.9,390,664$3,922,386,446
Booking Holdings Inc.1,074,110$3,896,742,187
Stryker Corp.10,752,937$3,848,153,564
Progressive Corp.18,423,700$3,810,389,634
Elevance Health Inc.7,315,639$3,793,451,447
Prologis Inc.29,081,602$3,787,006,212
Boeing Co.19,189,660$3,703,412,483
BlackRock Inc.4,440,215$3,701,807,246
Medtronic plc41,816,680$3,644,323,662
TJX Cos. Inc.35,848,917$3,635,797,162
Morgan Stanley38,565,805$3,631,356,199
American Express Co.15,929,826$3,627,062,082
NIKE Inc. Class B38,276,922$3,597,265,130
Citigroup Inc.56,809,739$3,592,647,894
Lockheed Martin Corp.7,587,931$3,451,522,174
Bristol-Myers Squibb Co.63,591,188$3,448,550,125
Deere & Co.8,363,039$3,435,034,639
Vertex Pharmaceuticals Inc.8,125,184$3,396,408,164
United Parcel Service Inc. Class B22,848,947$3,396,038,993
Cigna Group9,197,745$3,340,529,007
Chubb Ltd.12,742,521$3,301,969,467
Starbucks Corp.35,584,813$3,252,096,060
Charles Schwab Corp.44,543,516$3,222,277,947
Automatic Data Processing Inc.12,894,026$3,220,154,053
Marsh & McLennan Cos. Inc.15,449,121$3,182,209,944
Boston Scientific Corp.46,134,940$3,159,782,041
CVS Health Corp.39,569,961$3,156,100,089
Regeneron Pharmaceuticals Inc.3,223,830$3,102,904,137
Analog Devices Inc.15,587,293$3,083,010,682
Blackstone Group LP Class A22,634,020$2,973,431,207
KLA Corp.4,250,443$2,969,231,967
Fiserv Inc.18,549,392$2,964,563,829
3676 Holdings
51-100 of 3676 | <Prev  Next>

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