Vanguard Total Stock Market Index Fund
as of:
Stock Holdings

3679 Holdings
1-50 of 3679 |   Next>

Holding Shares Market Value
Apple Inc.461,659,246$78,634,419,371
Amazon.com Inc.294,195,504$51,484,213,200
Microsoft Corp.233,838,203$91,040,227,574
AT&T Inc.224,153,352$3,785,950,115
Bank of America Corp.210,687,986$7,797,562,362
Alphabet Inc. Class A185,434,011$30,184,948,311
Pfizer Inc.177,383,800$4,544,572,956
Alphabet Inc. Class C151,725,441$24,980,076,606
Walmart Inc.139,826,171$8,298,683,249
Intel Corp.133,057,010$4,054,247,095
Exxon Mobil Corp.125,032,544$14,787,598,979
Comcast Corp. Class A124,793,368$4,755,875,254
Ford Motor Co.122,989,969$1,494,328,123
Coca-Cola Co.122,251,401$7,551,469,040
Verizon Communications Inc.119,076,712$4,702,339,357
Cisco Systems Inc./Delaware114,794,580$5,393,049,368
Wells Fargo & Co.112,579,419$6,678,211,135
JPMorgan Chase & Co.90,674,592$17,385,946,270
Tesla Inc.85,205,657$15,616,492,815
PG&E Corp.82,232,575$1,406,999,358
Merck & Co. Inc.79,744,771$10,304,619,309
Johnson & Johnson75,824,128$10,963,410,668
NVIDIA Corp.74,741,100$64,577,805,222
Procter & Gamble Co.74,053,116$12,085,468,531
Facebook Inc. Class A69,237,427$29,783,863,973
Warner Bros Discovery Inc.68,025,842$500,670,197
NextEra Energy Inc.63,694,692$4,265,633,523
Bristol-Myers Squibb Co.63,690,944$2,798,580,079
Palantir Technologies Inc. Class A63,132,323$1,387,017,136
Uber Technologies Inc.62,079,986$4,114,040,672
CSX Corp.61,638,381$2,047,627,017
Kinder Morgan Inc.58,554,851$1,070,382,676
Walt Disney Co.57,718,702$6,412,547,792
Citigroup Inc.56,887,137$3,488,888,112
Chevron Corp.56,476,064$9,107,894,841
Berkshire Hathaway Inc. Class B55,885,891$22,171,609,536
Altria Group Inc.55,645,458$2,437,827,515
AbbVie Inc.55,578,007$9,039,207,058
Abbott Laboratories54,613,471$5,787,389,522
Kenvue Inc.54,429,966$1,024,371,960
Oracle Corp.51,931,362$5,907,192,428
Advanced Micro Devices Inc.50,854,158$8,054,281,544
Visa Inc. Class A49,339,451$13,253,069,933
US Bancorp49,007,696$1,991,182,688
Philip Morris International Inc.48,815,917$4,634,583,160
Boston Scientific Corp.46,169,512$3,318,202,827
Huntington Bancshares Inc./OH45,472,816$612,518,832
Freeport-McMoRan Inc.45,176,436$2,256,111,214
Schlumberger Ltd.45,101,033$2,141,397,047
Ginkgo Bioworks Holdings Inc.44,824,688$39,943,279
3679 Holdings
1-50 of 3679 |   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.  |  Manage cookies
Security  |  Prospectuses