SPY holdings

All 504 positions of State Street SPDR S&P 500 ETF Trust.

Positions
504
Top 10 weight
39.1%
Effective holdings
43.4
1 / sum of squared weights
In stocks
99.9%
In bonds
0.0%
Outside the US
0.0%

Asset mix

  • Equity99.9%
  • Cash0.3%

Sectors

100% of stocks classified
  • Technology48.3%
  • Industrials10.7%
  • Consumer Discretionary10.1%
  • Financials9.2%
  • Health Care8.2%
  • Consumer Staples3.2%
  • Energy3.0%
  • Utilities2.5%
  • Materials1.8%
  • Real Estate1.6%
  • Communication Services1.3%

Countries

  • United States98.3%

Holdings

#HoldingTypeWeightValueShares / parCountry
1NVDANvidia CorpEquity8.34%—295,403,453US
2AAPLApple Inc.Equity7.43%—178,148,225US
3MSFTMicrosoft CorpEquity5.80%—90,642,802US
4AMZNAmazon.Com IncEquity3.73%—119,819,596US
5GOOGLAlphabet Inc. Class A Common StockEquity3.05%—71,632,206US
6AVGOBroadcom Inc. Common StockEquity2.56%—58,077,784US
7GOOGAlphabet Inc. Class C Capital StockEquity2.45%—58,024,852US
8METAMeta Platforms, Inc. Class A Common StockEquity2.38%—26,919,008US
9MUMicron Technology, Inc.Equity1.75%—13,787,393US
10TSLATesla, Inc. Common StockEquity1.58%—34,405,368US
11AMDAdvanced Micro DevicesEquity1.51%—19,929,233US
12BRK.BBERKSHIRE HATHAWAY Class BEquity1.42%—22,736,839US
13LLYEli Lilly & Co.Equity1.40%—9,768,557US
14JPMJPMorgan Chase & Co.Equity1.32%—32,451,982US
15XOMExxonMobil Holdings CorporationEquity1.04%—50,201,807US
16VVISA Inc.Equity0.96%—20,805,677US
17JNJJohnson & JohnsonEquity0.92%—29,422,693US
18INTCIntel CorpEquity0.80%—60,666,759US
19WMTWalmart Inc. Common StockEquity0.74%—54,414,004US
20ABBVABBVIE INC.Equity0.72%—21,576,483US
21MAMastercard IncorporatedEquity0.69%—9,873,165US
22PLTRPalantir Technologies Inc. Class A Common StockEquity0.68%—28,092,122US
23CSCOCisco Systems, Inc. Common Stock (DE)Equity0.68%—48,125,474US
24COSTCostco Wholesale CorpEquity0.63%—5,415,080US
25CVXChevron CorporationEquity0.62%—24,125,044US
26AMATApplied Materials IncEquity0.60%—9,694,406US
27LRCXLam Research CorpEquity0.60%—15,278,994US
28CATCaterpillar Inc.Equity0.55%—5,612,901US
29MRKMerck & Co., Inc.Equity0.53%—30,126,749US
30PGProcter & Gamble CompanyEquity0.52%—28,384,406US
31BACBank of America CorporationEquity0.52%—79,412,027US
32KOCoca-Cola CompanyEquity0.51%—47,285,964US
33UNHUNITEDHEALTH GROUP INCORPORATED (Delaware)Equity0.50%—10,960,813US
34PANWPalo Alto Networks, Inc. Common StockEquity0.49%—9,943,154US
35GEGE AerospaceEquity0.47%—12,670,188US
36PMPhilip Morris International Inc.Equity0.47%—19,033,802US
37NFLXNetFlix IncEquity0.45%—50,851,177US
38HDHome Depot, Inc.Equity0.44%—12,168,290US
39CRWDCrowdStrike Holdings, Inc. Class A Common StockEquity0.40%—12,436,117US
40GEVGE Vernova Inc.Equity0.40%—3,252,633US
41TXNTexas Instruments IncorporatedEquity0.39%—11,141,960US
42KLACKLA Corporation Common StockEquity0.38%—15,940,141US
43GSGoldman Sachs Group Inc.Equity0.38%—3,552,183US
44RTXRTX CorporationEquity0.37%—16,442,946US
45WFCWells Fargo & Co.Equity0.37%—36,932,592US
46TMOThermo Fisher Scientific, Inc.Equity0.36%—4,515,783US
47MRVLMarvell Technology, Inc. Common StockEquity0.36%—10,693,959US
48SNDKSandisk Corporation Common StockEquity0.35%—1,781,021US
49ORCLOracle CorpEquity0.35%—21,085,497US
50MSMorgan StanleyEquity0.33%—14,578,541US
51LINLinde plc Ordinary ShareEquity0.33%—5,630,395
52ANETArista NetworksEquity0.33%—12,771,380US
53AMGNAmgen IncEquity0.33%—6,596,819US
54CCitigroup Inc.Equity0.32%—20,488,149US
55IBMInternational Business Machines CorporationEquity0.32%—11,494,269US
56APHAmphenol CorporationEquity0.31%—30,119,452US
57ADIAnalog Devices, Inc.Equity0.30%—5,949,477US
58VZVerizon CommunicationsEquity0.28%—50,750,601US
59QCOMQualcomm IncEquity0.28%—13,030,518US
60CRMSalesforce, Inc.Equity0.28%—9,993,907US
61US DOLLARCash0.28%—2,271,584,439
62DISThe Walt Disney CompanyEquity0.28%—21,092,618US
63GILDGilead Sciences IncEquity0.27%—15,146,678US
64STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)Equity0.26%—2,765,140US
65PEPPepsiCo, Inc.Equity0.26%—16,673,362US
66DELLDell Technologies Inc.Equity0.26%—3,688,156US
67ABTAbbott LaboratoriesEquity0.25%—21,111,003US
68TAT&T Inc.Equity0.25%—83,710,183US
69MCDMcDonald's CorporationEquity0.25%—8,644,801US
70UNPUnion Pacific Corp.Equity0.25%—7,253,579US
71ETNEaton Corporation, plc Ordinary SharesEquity0.25%—4,743,909US
72DEDeere & CompanyEquity0.25%—3,066,671US
73AXPAmerican Express CompanyEquity0.24%—6,426,217US
74NEENextEra Energy, Inc.Equity0.24%—25,478,721US
75COPConocoPhillipsEquity0.24%—14,656,486US
76WELLWelltower Inc.Equity0.24%—8,793,454US
77PFEPfizer Inc.Equity0.24%—69,600,169US
78SCHWThe Charles Schwab CorporationEquity0.24%—19,817,505US
79BLKBlackrock, Inc.Equity0.23%—1,757,038US
80TJXTJX Companies, Inc. (The)Equity0.23%—13,477,439US
81BABoeing CompanyEquity0.22%—9,642,800US
82ISRGIntuitive Surgical Inc.Equity0.22%—4,309,954US
83NOWSERVICENOW, INC.Equity0.22%—12,613,395US
84UBERUber Technologies, Inc.Equity0.21%—24,919,713US
85WDCWestern Digital Corp.Equity0.21%—4,398,502US
86DHRDanaher CorporationEquity0.20%—7,633,330US
87MPCMARATHON PETROLEUM CORPORATIONEquity0.19%—3,422,289US
88VLOValero Energy CorporationEquity0.19%—3,512,520US
89VRTXVertex Pharmaceuticals IncEquity0.19%—3,092,114US
90ACNAccenture PLCEquity0.19%—7,457,751US
91PGRProgressive CorporationEquity0.19%—7,092,866US
92PLDPROLOGIS, INC.Equity0.18%—11,594,185US
93COFCapital One FinancialEquity0.18%—7,477,147US
94BMYBristol-Myers Squibb Co.Equity0.18%—24,934,096US
95NEMNewmont CorporationEquity0.18%—12,842,716US
96SPGIS&P Global Inc.Equity0.18%—3,684,687US
97GLWCorning IncorporatedEquity0.18%—9,668,388US
98CBChubb LimitedEquity0.18%—4,278,680
99BKNGBooking Holdings Inc. Common StockEquity0.18%—9,157,679US
100PHParker-Hannifin CorporationEquity0.18%—1,539,580US
101MOAltria Group, Inc.Equity0.18%—20,385,167US
102FTNTFortinet, Inc.Equity0.17%—7,519,123US
103CVSCVS HEALTH CORPORATIONEquity0.17%—15,603,612US
104PSXPHILLIPS 66Equity0.17%—4,862,616US
105MDTMedtronic plcEquity0.17%—15,600,062US
106MCKMcKesson CorporationEquity0.16%—1,420,445US
107ADPAutomatic Data ProcessingEquity0.16%—4,846,924US
108SBUXStarbucks CorpEquity0.16%—13,914,823US
109LOWLowe's Companies Inc.Equity0.16%—6,838,133US
110TTTrane Technologies plcEquity0.15%—2,680,547
111LMTLockheed Martin Corp.Equity0.15%—2,478,824US
112PWRQuanta Services, Inc.Equity0.15%—1,831,779US
113FCXFreeport-McMoran Inc.Equity0.15%—17,497,638US
114EQIXEquinix, Inc. Common Stock REITEquity0.15%—1,205,439US
115CMECME Group Inc.Equity0.15%—4,381,228US
116SOThe Southern CompanyEquity0.15%—14,034,754US
117BNYBank of New York Mellon CorporationEquity0.15%—8,267,609US
118SYKStryker CorporationEquity0.14%—4,258,645US
119CDNSCadence Design SystemsEquity0.14%—3,359,754US
120ADBEAdobe Inc.Equity0.14%—4,843,517US
121SNPSSynopsys IncEquity0.14%—2,336,235US
122CEGConstellation Energy Corporation Common StockEquity0.14%—4,019,918US
123HPEHewlett Packard Enterprise CompanyEquity0.14%—16,129,822US
124VRTVertiv Holdings Co Class A Common StockEquity0.14%—4,697,042US
125JCIJohnson Controls International plcEquity0.14%—7,379,050
126LITELumentum Holdings Inc. Common StockEquity0.14%—1,080,840US
127DDOGDatadog, Inc. Class A Common StockEquity0.14%—4,086,084US
128DUKDuke Energy CorporationEquity0.14%—9,515,242US
129USBU.S. BancorpEquity0.13%—19,008,633US
130HWMHowmet Aerospace Inc.Equity0.13%—4,858,371US
131EMREmerson Electric Co.Equity0.13%—6,794,573US
132WMBWilliams Companies Inc.Equity0.13%—14,936,788US
133PNCPNC Financial Services GroupEquity0.13%—4,867,438US
134CSXCSX CorporationEquity0.13%—22,568,003US
135ICEIntercontinental Exchange Inc.Equity0.13%—6,848,927US
136ELVElevance Health, Inc.Equity0.13%—2,641,892US
137HOODRobinhood Markets, Inc. Class A Common StockEquity0.13%—9,656,290US
138BXBlackstone Inc.Equity0.13%—9,157,876US
139MRSHMarshEquity0.13%—5,822,160US
140MMM3M CompanyEquity0.13%—6,282,417US
141GDGeneral Dynamics CorporationEquity0.12%—3,105,314US
142INTUIntuit IncEquity0.12%—3,332,165US
143TMUST-Mobile US, Inc.Equity0.12%—5,889,062US
144BEBloom Energy CorporationEquity0.12%—3,593,220US
145WMWaste Management, Inc.Equity0.12%—4,535,314US
146EOGEOG Resources, Inc.Equity0.12%—6,399,293US
147AMTAmerican Tower CorporationEquity0.12%—5,699,533US
148MDLZMondelez International, Inc. Class AEquity0.12%—15,546,118US
149TRVThe Travelers Companies, Inc.Equity0.12%—2,540,775US
150MARMarriott International Class A Common StockEquity0.12%—2,604,285US
151APPApplovin Corporation Class A Common StockEquity0.11%—3,305,907US
152CMCSAComcast CorpEquity0.11%—43,110,619US
153CIThe Cigna GroupEquity0.11%—3,223,924US
154MSIMotorola Solutions, Inc. NewEquity0.11%—2,015,829US
155MRNAModerna, Inc. Common StockEquity0.11%—4,529,983US
156SHWThe Sherwin-Williams CompanyEquity0.11%—2,779,185US
157HLTHilton Worldwide Holdings Inc.Equity0.11%—2,740,638US
158SLBSLB LimitedEquity0.11%—18,076,894US
159REGNRegeneron Pharmaceuticals IncEquity0.11%—1,194,277US
160DASHDoorDash, Inc. Class A Common StockEquity0.11%—4,590,472US
161ROSTRoss Stores IncEquity0.11%—3,906,569US
162GMGeneral Motors CompanyEquity0.11%—10,686,938US
163CMICummins Inc.Equity0.11%—1,676,770US
164NSCNorfolk Southern Corp.Equity0.11%—2,741,312US
165ECLEcolab, Inc.Equity0.11%—3,072,409US
166UPSUnited Parcel Service, Inc. Class BEquity0.11%—9,134,926US
167TGTTarget CorporationEquity0.11%—5,546,446US
168CLColgate-Palmolive CompanyEquity0.10%—9,725,818US
169RCLRoyal Caribbean GroupEquity0.10%—3,028,415
170ORLYO'Reilly Automotive, Inc.Equity0.10%—9,869,740US
171CTASCintas CorpEquity0.10%—4,198,746US
172ITWIllinois Tool Works Inc.Equity0.10%—3,162,015US
173ABNBAirbnb, Inc. Class A Common StockEquity0.10%—5,113,113US
174MCOMoody's CorporationEquity0.10%—1,816,999US
175MPWRMonolithic Power Systems, Inc.Equity0.10%—600,708US
176AEPAmerican Electric Power Company, Inc.Equity0.10%—6,656,656US
177HONHoneywell International, Inc.Equity0.10%—3,876,287US
178HCAHCA Healthcare, Inc.Equity0.10%—1,796,070US
179URIUnited Rentals, Inc.Equity0.10%—759,372US
180NOCNorthrop Grumman Corp.Equity0.10%—1,633,170US
181SPGSimon Property Group, Inc.Equity0.10%—3,947,362US
182KEYSKeysight Technologies, Inc.Equity0.10%—2,093,218US
183FDXFedEx CorporationEquity0.10%—2,685,532US
184KMIKinder Morgan, Inc.Equity0.09%—23,952,842US
185TERTeradyne, Inc. Common StockEquity0.09%—1,914,054US
186MNSTMonster Beverage CorporationEquity0.09%—17,460,365US
187APDAir Products & Chemicals, Inc.Equity0.09%—2,725,308US
188KKRKKR & Co. Inc.Equity0.09%—8,458,345US
189TELTE Connectivity plcEquity0.09%—3,531,919
190DLRDigital Realty Trust, Inc.Equity0.09%—4,288,709US
191TRGPTarga Resources Corp.Equity0.09%—2,616,086US
192CORCencora, Inc.Equity0.09%—2,327,986US
193BSXBoston Scientific Corp.Equity0.09%—17,645,140US
194CIENCiena CorporationEquity0.09%—1,726,048US
195FIXComfort Systems USA, Inc.Equity0.09%—429,684US
196TDGTransDigm Group IncorporatedEquity0.09%—672,962US
197AJGArthur J. Gallagher & Co.Equity0.09%—3,126,886US
198COHRCoherent Corp.Equity0.09%—2,393,237US
199AONAon plc Class AEquity0.09%—2,582,893
200NXPINXP Semiconductors N.V.Equity0.09%—3,076,628US
201ALLThe Allstate CorporationEquity0.09%—3,078,655US
202FASTFastenal CoEquity0.09%—14,044,571US
203PCARPaccar IncEquity0.09%—6,438,369US
204OKEOneok, Inc.Equity0.09%—7,707,624US
205AMEAmetek, Inc.Equity0.08%—2,804,213US
206TFCTruist Financial CorporationEquity0.08%—14,871,700US
207BKRBaker Hughes CompanyEquity0.08%—12,139,578US
208NUENucor CorporationEquity0.08%—2,761,966US
209CAHCardinal Health, Inc.Equity0.08%—2,830,338US
210GWWW.W. Grainger, Inc.Equity0.08%—528,646US
211APOApollo Global Management, Inc.Equity0.08%—5,763,767US
212DDominion Energy, Inc Common StockEquity0.08%—10,759,860US
213CRHCRH Public Limited CompanyEquity0.08%—8,098,642
214DVNDevon Energy CorporationEquity0.08%—13,388,167US
215SRESempraEquity0.08%—7,997,862US
216METMetLife, Inc.Equity0.08%—6,496,500US
217AFLAflac Inc.Equity0.08%—5,443,770US
218ORealty Income CorporationEquity0.08%—11,544,134US
219PEverpure, Inc.Equity0.07%—4,055,352US
220BDXBecton, Dickinson and Co.Equity0.07%—3,314,416US
221ADSKAutodesk IncEquity0.07%—2,583,011US
222VSTVistra Corp.Equity0.07%—3,848,930US
223HONAHoneywell Aerospace Inc. Common StockEquity0.07%—3,876,287US
224VYLRVylor Inc.Equity0.07%—8,193,518US
225DALDelta Air Lines, Inc.Equity0.07%—7,241,925US
226EWEdwards Lifesciences CorpEquity0.07%—7,044,881US
227ROKRockwell Automation, Inc.Equity0.07%—1,360,990US
228FFord Motor CompanyEquity0.07%—47,883,381US
229PSAPublic StorageEquity0.07%—2,051,904US
230STTState Street CorporationEquity0.07%—3,343,010US
231ETREntergy CorporationEquity0.07%—5,693,200US
232AAgilent Technologies Inc.Equity0.07%—3,457,259US
233AZOAutoZone, Inc.Equity0.07%—198,945US
234WABWabtec Inc.Equity0.07%—2,055,329US
235PYPLPayPal Holdings, Inc. Common StockEquity0.07%—10,407,058US
236HUMHumana Inc.Equity0.07%—1,468,775US
237CARRCarrier Global CorporationEquity0.07%—10,056,803US
238FITBFifth Third BancorpEquity0.07%—11,061,113US
239XELXcel Energy, Inc.Equity0.07%—7,637,953US
240CVNACarvana Co.Equity0.07%—8,763,898US
241NTAPNetApp, IncEquity0.07%—2,393,885US
242EBAYeBay IncEquity0.07%—4,886,023US
243GRMNGarmin LtdEquity0.07%—2,023,538
244LHXL3Harris Technologies, Inc.Equity0.07%—2,279,284US
245AMPAmeriprise Financial, Inc.Equity0.07%—1,074,786US
246OXYOccidental Petroleum CorporationEquity0.07%—8,884,599US
247EXCExelon CorporationEquity0.06%—12,593,944US
248VMRKVivmark ResidentialEquity0.06%—8,754,653US
249KDPKeurig Dr Pepper Inc.Equity0.06%—16,645,255US
250TWLOTwilio Inc.Equity0.06%—1,884,165US
251VEEVVeeva Systems Inc.Equity0.06%—1,823,079US
252IQVIQVIA Holdings Inc.Equity0.06%—2,002,268US
253RSGRepublic Services Inc.Equity0.06%—2,383,703US
254FLEXFlex Ltd. Ordinary SharesEquity0.06%—4,498,573
255WATWaters CorpEquity0.06%—1,199,716US
256VTRVentas, Inc.Equity0.06%—6,257,903US
257FERGFerguson Enterprises Inc.Equity0.06%—2,360,140US
258NKENike, Inc.Equity0.06%—14,676,089US
259CMGChipotle Mexican Grill, Inc.Equity0.06%—15,391,481US
260MSCIMSCI, Inc.Equity0.06%—890,534US
261MCHPMicrochip Technology IncEquity0.06%—6,621,572US
262NDAQNasdaq, Inc. Common StockEquity0.06%—5,387,389US
263XYZBlock, Inc.Equity0.06%—6,598,306US
264IDXXIdexx Laboratories IncEquity0.06%—965,321US
265AIGAmerican International Group, Inc.Equity0.06%—6,379,278US
266ILMNIllumina IncEquity0.06%—1,842,122US
267ADMArcher Daniels Midland CompanyEquity0.06%—5,896,046US
268FANGDiamondback Energy, Inc.Equity0.06%—2,493,890US
269EDConsolidated Edison, Inc.Equity0.06%—4,509,893US
270IBKRInteractive Brokers Group, Inc. Class A Common StockEquity0.06%—5,527,756US
271PRUPrudential Financial, Inc.Equity0.06%—4,195,553US
272YUMYum! Brands, Inc.Equity0.06%—3,329,535US
273COINCoinbase Global, Inc. Class A Common StockEquity0.06%—2,721,327US
274WDAYWorkday, Inc. Class A Common StockEquity0.06%—2,444,327US
275SYYSysco CorporationEquity0.06%—5,850,231US
276CBRECBRE GROUP, INC.Equity0.06%—3,465,750US
277TTWOTake-Two Interactive Software IncEquity0.05%—2,144,519US
278ROPRoper Technologies, Inc. Common StockEquity0.05%—1,206,545US
279PEGPublic Service Enterprise Group IncorporatedEquity0.05%—6,096,407US
280UALUnited Airlines Holdings, Inc. Common StockEquity0.05%—3,970,909US
281HIGThe Hartford Insurance Group, Inc.Equity0.05%—3,293,165US
282KRThe Kroger Co.Equity0.05%—6,940,772US
283DHID.R. Horton Inc.Equity0.05%—3,094,106US
284EMEEMCOR Group, Inc.Equity0.05%—538,005US
285KVUEKenvue Inc.Equity0.05%—23,489,847US
286AXONAxon Enterprise, Inc. Common StockEquity0.05%—991,147US
287ODFLOld Dominion Freight LineEquity0.05%—2,276,926US
288WECWEC Energy Group, Inc.Equity0.05%—3,984,815US
289IRMIron Mountain Inc.Equity0.05%—3,639,754US
290PAYXPaychex IncEquity0.05%—3,892,038US
291CCLCarnival Corporation Ltd.Equity0.05%—15,540,295
292EQTEQT CORPEquity0.05%—7,652,058US
293RMDResMed Inc.Equity0.05%—1,759,719US
294KMBKimberly-Clark Corp.Equity0.05%—4,060,808US
295ACGLArch Capital Group LtdEquity0.05%—4,129,552
296BIIBBiogen Inc. Common StockEquity0.05%—1,809,000US
297VMCVulcan Materials Company(Holding Company)Equity0.05%—1,587,339US
298CNCCentene CorporationEquity0.05%—6,026,966US
299DXCMDexCom, Inc.Equity0.05%—4,586,010US
300STLDSteel Dynamics IncEquity0.05%—1,643,742US
301JBLJabil Inc.Equity0.05%—1,278,637US
302MTBM&T Bank Corp.Equity0.05%—1,754,866US
303HBANHuntington Bancshares IncEquity0.05%—24,798,095US
304EXPEExpedia Group, Inc. Common StockEquity0.05%—1,400,562US
305ONON Semiconductor CorpEquity0.05%—4,749,664US
306CBOECboe Global Markets, Inc.Equity0.05%—1,282,421US
307NTRSNorthern Trust CorpEquity0.05%—2,232,249US
308MTDMettler-Toledo InternationalEquity0.05%—245,905US
309ZTSZOETIS INC.Equity0.05%—5,041,525US
310HPQHP Inc.Equity0.04%—11,196,253US
311CCICrown Castle Inc.Equity0.04%—5,190,696US
312GEHCGE HealthCare Technologies Inc. Common StockEquity0.04%—5,510,609US
313MLMMartin Marietta MaterialsEquity0.04%—734,779US
314AEEAmeren CorporationEquity0.04%—3,384,842US
315WSMWilliams-Sonoma, Inc.Equity0.04%—1,440,374US
316EXRExtra Space Storage, Inc.Equity0.04%—2,584,385US
317TDYTeledyne Technologies IncorporatedEquity0.04%—566,924US
318PCGPG&E CorporationEquity0.04%—26,942,227US
319WTWWillis Towers Watson Public Limited Company Ordinary SharesEquity0.04%—1,133,205
320RJFRaymond James Financial, Inc.Equity0.04%—2,122,383US
321DGDollar General Corp.Equity0.04%—2,697,262US
322HALHalliburton CompanyEquity0.04%—10,216,184US
323LYVLive Nation Entertainment Inc.Equity0.04%—1,936,283US
324CFGCitizens Financial Group, Inc.Equity0.04%—5,172,766US
325ATOAtmos Energy CorporationEquity0.04%—2,061,895US
326CTSHCognizant Technology SolutionsEquity0.04%—5,495,296US
327IRIngersoll Rand Inc. Common StockEquity0.04%—4,191,612US
328QQnity Electronics, Inc.Equity0.04%—2,559,486US
329DTEDTE Energy CompanyEquity0.04%—2,545,321US
330CPAYCorpay, Inc.Equity0.04%—799,779US
331FFIVF5, Inc. Common StockEquity0.04%—689,470US
332ARESAres Management Corporation Class A Common StockEquity0.04%—2,732,197US
333WSTWest Pharmaceutical Services, Inc.Equity0.04%—864,347US
334PPLPPL CorporationEquity0.04%—9,204,202US
335DGXQuest Diagnostics Inc.Equity0.04%—1,354,195US
336DOVDover CorporationEquity0.04%—1,648,822US
337AWKAmerican Water Works Company, IncEquity0.04%—2,424,605US
338EXPDExpeditors International of Washington, Inc.Equity0.04%—1,599,790US
339CINFCincinnati Financial CorpEquity0.04%—1,872,613US
340LHLabcorp Holdings Inc.Equity0.04%—984,655US
341HUBBHubbell IncorporatedEquity0.04%—646,813US
342CNPCenterPoint Energy, Inc.Equity0.04%—8,001,470US
343OTISOtis Worldwide CorporationEquity0.04%—4,644,259US
344VICIVICI Properties Inc. Common StockEquity0.04%—13,433,294US
345ESEversource EnergyEquity0.04%—4,594,576US
346FISVFiserv, Inc. Common StockEquity0.04%—6,523,139US
347VRSNVeriSign IncEquity0.04%—991,497US
348SMCISuper Micro Computer, Inc. Common StockEquity0.04%—6,884,369US
349ULTAUlta Beauty, Inc. Common StockEquity0.04%—521,673US
350SYFSYNCHRONY FINANCIALEquity0.04%—3,948,518US
351CASYCasey's General Stores IncEquity0.04%—452,813US
352XYLXylem IncEquity0.04%—2,848,613US
353HSYThe Hershey CompanyEquity0.04%—1,775,964US
354PPGPPG Industries, Inc.Equity0.04%—2,726,497US
355VLTOVeralto CorporationEquity0.04%—2,974,402US
356FEFirstEnergy Corp.Equity0.03%—6,369,088US
357ELThe Estee Lauder Companies Inc. Class AEquity0.03%—3,015,984US
358RFRegions Financial Corp.Equity0.03%—10,439,972US
359CHDChurch & Dwight Co., Inc.Equity0.03%—2,891,450US
360VRSKVerisk Analytics, Inc. Common StockEquity0.03%—1,602,555US
361CPRTCopart IncEquity0.03%—10,225,766US
362TPRTapestry, Inc. Common StockEquity0.03%—2,419,044US
363RDDTReddit, Inc.Equity0.03%—1,782,248US
364DLTRDollar Tree Inc.Equity0.03%—2,344,567US
365DRIDarden Restaurants, Inc.Equity0.03%—1,385,403US
366NRGNRG Energy, Inc.Equity0.03%—2,580,667US
367TROWT Rowe Price Group IncEquity0.03%—2,620,834US
368SWSmurfit Westrock plcEquity0.03%—6,420,580
369IFFInternational Flavors & Fragrances Inc.Equity0.03%—3,130,492US
370PFGPrincipal Financial Group, Inc.Equity0.03%—2,377,222US
371PHMPultegroup, Inc.Equity0.03%—2,286,763US
372TPLTexas Pacific Land CorporationEquity0.03%—715,344US
373OMCOmnicom Group Inc.Equity0.03%—3,347,323US
374EIXEdison InternationalEquity0.03%—4,707,383US
375PTCPTC, INCEquity0.03%—1,312,312US
376STESTERIS plcEquity0.03%—1,199,497
377DOWDow Inc.Equity0.03%—8,787,282US
378CMSCMS Energy CorporationEquity0.03%—3,825,567US
379EXEExpand Energy Corporation Common StockEquity0.03%—2,806,784US
380PKGPackaging Corp of AmericaEquity0.03%—1,083,011US
381LUVSouthwest Airlines Co.Equity0.03%—5,978,032US
382VTRSViatris Inc. Common StockEquity0.03%—14,013,150US
383KHCThe Kraft Heinz CompanyEquity0.03%—10,560,998US
384NINiSource Inc.Equity0.03%—5,848,851US
385AMCRAmcor plc Ordinary SharesEquity0.03%—5,616,652
386FSLRFirst Solar, Inc.Equity0.03%—1,313,462US
387INCYIncyte Genomics IncEquity0.03%—2,077,106US
388BRBroadridge Financial Solutions IncEquity0.03%—1,391,162US
389SNASnap-on IncorporatedEquity0.03%—633,759US
390EVRGEvergy, Inc.Equity0.03%—2,820,727US
391STZConstellation Brands, Inc.Equity0.03%—1,833,279US
392SWKSSkyworks Solutions IncEquity0.03%—2,789,297US
393GPNGlobal Payments, Inc.Equity0.03%—2,711,707US
394BROBrown & Brown, Inc.Equity0.03%—3,510,606US
395ZBRAZebra Technologies CorporationEquity0.03%—582,568US
396KEYKeyCorpEquity0.03%—11,066,243US
397SBACSBA Communications CorpEquity0.03%—1,297,236US
398DDDuPont de Nemours, Inc. Common StockEquity0.03%—1,659,024US
399FISFidelity National Information Services, Inc.Equity0.03%—6,323,580US
400LLoews CorporationEquity0.03%—2,005,902US
401GPCGenuine Parts CompanyEquity0.03%—1,683,951US
402TSCOTractor Supply CoEquity0.03%—6,414,950US
403GISGeneral Mills, Inc.Equity0.03%—6,529,132US
404BBYBest Buy Company, Inc.Equity0.03%—2,406,509US
405NDSNNordson CorpEquity0.03%—648,585US
406CDWCDW CorporationEquity0.03%—1,514,640US
407ESSEssex Property Trust, IncEquity0.03%—785,904US
408FTVFortive CorporationEquity0.03%—3,729,137US
409IEXIDEX CorporationEquity0.03%—905,576US
410CFCF Industries Holding, Inc.Equity0.03%—1,846,250US
411EFXEquifax, IncorporatedEquity0.03%—1,433,367US
412JBHTJB Hunt Transport Services IncEquity0.03%—910,927US
413RVTYRevvity, Inc.Equity0.03%—1,364,754US
414BGBunge Global SAEquity0.03%—1,921,971
415ZBHZimmer Biomet Holdings, Inc.Equity0.03%—2,326,914US
416IPInternational Paper Co.Equity0.03%—6,464,000US
417LNTAlliant Energy Corporation Common StockEquity0.03%—3,142,250US
418CHRWC.H. Robinson Worldwide, Inc.Equity0.02%—1,441,895US
419JJacobs Solutions Inc.Equity0.02%—1,444,306US
420WRBW.R. Berkley CorporationEquity0.02%—2,762,796US
421APAAPA Corporation Common StockEquity0.02%—4,323,207US
422LYBLyondellBasell Industries N.V. Class AEquity0.02%—3,170,227
423BALLBall CorporationEquity0.02%—3,256,647US
424HSTHost Hotels & Resorts, Inc.Equity0.02%—8,358,625US
425NVRNVR, Inc.Equity0.02%—31,185US
426FICOFair Isaac CorporationEquity0.02%—263,252US
427LDOSLeidos Holdings, Inc.Equity0.02%—1,539,011US
428KIMKimco Realty Corp.Equity0.02%—8,250,161US
429LENLennar Corporation Class AEquity0.02%—2,343,166US
430TSNTyson Foods, Inc.Equity0.02%—3,451,665US
431AKAMAkamai Technologies IncEquity0.02%—1,778,041US
432CRLCharles River Laboratories International, Inc.Equity0.02%—589,334US
433INVHInvitation Homes Inc. Common StockEquity0.02%—6,557,353US
434TRMBTrimble Inc. Common StockEquity0.02%—2,851,928US
435RLRalph Lauren CorporationEquity0.02%—460,061US
436FDXFFedEx Freight Holding Company, Inc.Equity0.02%—1,459,304US
437WYWeyerhaeuser CompanyEquity0.02%—8,755,339US
438MASMasco CorporationEquity0.02%—2,382,795US
439AIZAssurant, Inc.Equity0.02%—606,467US
440MAAMid-America Apartment Communities, Inc.Equity0.02%—1,423,521US
441IVZInvesco LTDEquity0.02%—5,434,299
442SWKStanley Black & Decker, Inc.Equity0.02%—1,824,724US
443EGEverest Group, Ltd.Equity0.02%—435,225
444GNRCGENERAC HOLDINGS INCEquity0.02%—713,529US
445GDDYGoDaddy IncEquity0.02%—1,545,061US
446HASHasbro, Inc.Equity0.02%—1,721,043US
447ECHOEchoStar CorporationEquity0.02%—1,689,115US
448GLGlobe Life Inc.Equity0.02%—949,466US
449DOCHealthpeak Properties, Inc.Equity0.02%—8,467,641US
450AVYAvery Dennison Corp.Equity0.02%—935,567US
451ALLEAllegion Public Limited CompanyEquity0.02%—1,039,053
452SJMThe J.M. Smucker CompanyEquity0.02%—1,304,985US
453TXTTextron, Inc.Equity0.02%—2,121,882US
454FOXAFox Corporation Class A Common StockEquity0.02%—2,440,848US
455TYLTyler Technologies, Inc.Equity0.02%—464,652US
456SOLVSolventum CorporationEquity0.02%—1,765,457US
457BAXBaxter International Inc.Equity0.02%—6,347,770US
458CHTRCharter Comm Inc Del CL A NewEquity0.02%—1,364,128US
459GENGen Digital Inc. Common StockEquity0.02%—6,572,446US
460CSGPCoStar Group IncEquity0.02%—4,995,491US
461ITGartner, Inc.Equity0.02%—761,958US
462ALBAlbemarle CorporationEquity0.02%—1,440,859US
463PNWPinnacle West Capital CorporationEquity0.02%—1,483,519US
464REGRegency Centers CorporationEquity0.02%—2,016,641US
465MKCMcCormick & Company, Incorporated Non-VTG CSEquity0.02%—3,116,887US
466LIILennox International Inc.Equity0.02%—387,148US
467TECHBio-Techne Corp.Equity0.02%—1,918,375US
468DECKDeckers Outdoor CorpEquity0.02%—1,641,951US
469TKOTKO Group Holdings, Inc.Equity0.02%—723,357US
470AESAES CorporationEquity0.02%—8,724,513US
471COOThe Cooper Companies, Inc. Common StockEquity0.02%—2,386,560US
472JKHYHenry (Jack) & AssociatesEquity0.02%—869,091US
473NWSANews Corporation Class A Common StockEquity0.02%—4,462,472US
474HIIHuntington Ingalls Industries, Inc.Equity0.02%—479,854US
475DPZDomino's Pizza Inc.Equity0.02%—403,541US
476FDSFactset Research SystemsEquity0.02%—434,143US
477CLXClorox CompanyEquity0.02%—1,487,355US
478UDRUDR, Inc.Equity0.01%—3,616,109US
479CPTCamden Property TrustEquity0.01%—1,229,581US
480LULUlululemon athletica inc.Equity0.01%—1,280,864
481ROLRollins, Inc.Equity0.01%—3,594,577US
482BXPBXP, Inc.Equity0.01%—1,947,808US
483BENFranklin Templeton, Inc.Equity0.01%—3,547,669US
484APTVAptiv PLCEquity0.01%—2,590,793
485PODDInsulet CorporationEquity0.01%—847,338US
486ALGNAlign Technology IncEquity0.01%—805,733US
487LVSLas Vegas Sands Corp.Equity0.01%—3,122,291US
488UHSUniversal Health Services, Inc. Class BEquity0.01%—630,682US
489PNRPentair plcEquity0.01%—1,976,408
490FRTFederal Realty Investment TrustEquity0.01%—965,070US
491HSICHenry Schein IncEquity0.01%—1,184,037US
492FOXFox Corporation Class B Common StockEquity0.01%—1,639,271US
493NCLHNorwegian Cruise Line Holdings Ltd. Ordinary SharesEquity0.01%—5,655,385US
494AREAlexandria Real Estate Equities, Inc.Equity0.01%—1,911,854US
495AOSA.O. Smith CorporationEquity0.01%—1,368,844US
496MOSThe Mosaic CompanyEquity0.01%—3,916,766US
497DVADaVita Inc.Equity0.01%—412,809US
498ERIEErie Indemnity CoEquity0.01%—310,655US
499HRLHormel Foods CorporationEquity0.01%—3,568,228US
500WYNNWynn Resorts LtdEquity0.01%—872,245US
501MGMMGM RESORTS INTERNATIONALEquity0.01%—2,148,711US
502SKYDSkydance CorporationEquity0.01%—6,651,774US
503BF.BBrown-Forman Corporation Class BEquity0.01%—2,160,861US
504NWSNews Corporation Class B Common StockEquity0.01%—1,491,687US

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