AAPL Apple | $37,634,657,607 | $26,753,514,718 ▲ | 245.9% | 150,286,150 | 3.2% | Computer and Technology |
NVDA NVIDIA | $31,752,242,737 | $31,752,242,737 ▲ | New Holding | 236,445,325 | 2.7% | Computer and Technology |
MSFT Microsoft | $30,043,803,623 | $30,043,803,623 ▲ | New Holding | 71,278,300 | 2.5% | Computer and Technology |
QQQ Invesco QQQ | $28,541,834,713 | $27,585,639,841 ▲ | 2,884.9% | 55,829,734 | 2.4% | Finance |
SPY SPDR S&P 500 ETF Trust | $27,730,964,896 | $27,730,964,896 ▲ | New Holding | 47,316,006 | 2.3% | Finance |
VTV Vanguard Value ETF | $20,359,651,939 | $20,359,651,939 ▲ | New Holding | 120,257,838 | 1.7% | ETF |
AMZN Amazon.com | $18,777,380,378 | $10,977,196,082 ▲ | 140.7% | 85,589,045 | 1.6% | Retail/Wholesale |
VUG Vanguard Growth ETF | $17,822,587,168 | $17,822,587,168 ▲ | New Holding | 43,423,124 | 1.5% | ETF |
IWM iShares Russell 2000 ETF | $15,626,042,907 | $15,626,042,907 ▲ | New Holding | 70,718,876 | 1.3% | Finance |
AVGO Broadcom | $15,508,113,892 | $15,508,113,892 ▲ | New Holding | 66,891,451 | 1.3% | Computer and Technology |
TSLA Tesla | $14,017,388,056 | $14,017,388,056 ▲ | New Holding | 34,710,253 | 1.2% | Auto/Tires/Trucks |
IEFA iShares Core MSCI EAFE ETF | $13,475,351,851 | $13,475,351,851 ▲ | New Holding | 191,738,074 | 1.1% | ETF |
GOOGL Alphabet | $13,135,768,686 | $13,135,768,686 ▲ | New Holding | 69,391,278 | 1.1% | Computer and Technology |
VOO Vanguard S&P 500 ETF | $12,884,314,209 | $12,884,314,209 ▲ | New Holding | 23,912,537 | 1.1% | ETF |
JPM JPMorgan Chase & Co. | $12,777,467,237 | $12,777,467,237 ▲ | New Holding | 53,303,855 | 1.1% | Finance |
IWF iShares Russell 1000 Growth ETF | $12,273,227,456 | $12,273,227,456 ▲ | New Holding | 30,562,347 | 1.0% | ETF |
IVV iShares Core S&P 500 ETF | $10,466,458,937 | $10,466,458,937 ▲ | New Holding | 17,779,539 | 0.9% | ETF |
META Meta Platforms | $10,337,045,279 | $10,337,045,279 ▲ | New Holding | 17,654,772 | 0.9% | Computer and Technology |
IWD iShares Russell 1000 Value ETF | $10,008,422,514 | $10,008,422,514 ▲ | New Holding | 54,061,592 | 0.8% | ETF |
GOVT iShares U.S. Treasury Bond ETF | $9,741,995,706 | $9,741,995,706 ▲ | New Holding | 423,933,669 | 0.8% | ETF |
VGT Vanguard Information Technology ETF | $9,537,315,933 | $9,537,315,933 ▲ | New Holding | 15,338,237 | 0.8% | ETF |
TLT iShares 20+ Year Treasury Bond ETF | $8,663,444,526 | $8,663,444,526 ▲ | New Holding | 99,203,533 | 0.7% | ETF |
IEMG iShares Core MSCI Emerging Markets ETF | $8,598,645,199 | $8,598,645,199 ▲ | New Holding | 164,661,915 | 0.7% | ETF |
VEA Vanguard FTSE Developed Markets ETF | $8,387,298,719 | $8,387,298,719 ▲ | New Holding | 175,393,114 | 0.7% | ETF |
LLY Eli Lilly and Company | $8,248,836,616 | $8,248,836,616 ▲ | New Holding | 10,685,022 | 0.7% | Medical |
V Visa | $7,311,871,650 | $7,311,871,650 ▲ | New Holding | 23,135,906 | 0.6% | Business Services |
XOM Exxon Mobil | $7,222,215,804 | $7,222,215,804 ▲ | New Holding | 67,139,684 | 0.6% | Energy |
XLF Financial Select Sector SPDR Fund | $7,210,282,331 | $7,210,282,331 ▲ | New Holding | 149,188,544 | 0.6% | ETF |
MBB iShares MBS ETF | $6,966,420,733 | $6,966,420,733 ▲ | New Holding | 75,986,265 | 0.6% | ETF |
GOOG Alphabet | $6,837,459,830 | $6,837,459,830 ▲ | New Holding | 35,903,486 | 0.6% | Computer and Technology |
WMT Walmart | $6,650,146,175 | $6,650,146,175 ▲ | New Holding | 73,604,274 | 0.6% | Retail/Wholesale |
IUSV iShares Core S&P U.S. Value ETF | $6,629,509,414 | $6,629,509,414 ▲ | New Holding | 71,600,707 | 0.6% | Manufacturing |
COST Costco Wholesale | $6,443,424,778 | $6,443,424,778 ▲ | New Holding | 7,032,234 | 0.5% | Retail/Wholesale |
HD Home Depot | $6,108,698,079 | $6,108,698,079 ▲ | New Holding | 15,703,998 | 0.5% | Retail/Wholesale |
VB Vanguard Small-Cap ETF | $5,964,335,762 | $5,964,335,762 ▲ | New Holding | 24,822,440 | 0.5% | ETF |
BNDX Vanguard Total International Bond ETF | $5,822,168,810 | $5,822,168,810 ▲ | New Holding | 118,698,651 | 0.5% | ETF |
IUSG iShares Core S&P U.S. Growth ETF | $5,504,069,315 | $5,504,069,315 ▲ | New Holding | 39,498,165 | 0.5% | Manufacturing |
IWR iShares Russell Mid-Cap ETF | $5,448,146,558 | $5,448,146,558 ▲ | New Holding | 61,630,617 | 0.5% | ETF |
XLV Health Care Select Sector SPDR Fund | $5,216,752,472 | $5,216,752,472 ▲ | New Holding | 37,920,713 | 0.4% | ETF |
PG Procter & Gamble | $5,157,886,599 | $5,157,886,599 ▲ | New Holding | 30,765,802 | 0.4% | Consumer Staples |
BLACKROCK INC
| $5,157,129,557 | $5,157,129,557 ▲ | New Holding | 5,030,806 | 0.4% | COM |
VCIT Vanguard Intermediate-Term Corporate Bond ETF | $5,113,562,355 | $5,113,562,355 ▲ | New Holding | 63,704,527 | 0.4% | ETF |
NFLX Netflix | $4,947,567,409 | $4,947,567,409 ▲ | New Holding | 5,550,832 | 0.4% | Consumer Discretionary |
VIG Vanguard Dividend Appreciation ETF | $4,845,498,268 | $4,845,498,268 ▲ | New Holding | 24,743,391 | 0.4% | ETF |
VCSH Vanguard Short-Term Corporate Bond ETF | $4,762,538,598 | $4,762,538,598 ▲ | New Holding | 61,050,360 | 0.4% | ETF |
VWO Vanguard FTSE Emerging Markets ETF | $4,716,177,100 | $4,716,177,100 ▲ | New Holding | 107,088,490 | 0.4% | ETF |
ABBV AbbVie | $4,711,673,716 | $4,711,673,716 ▲ | New Holding | 26,514,765 | 0.4% | Medical |
VO Vanguard Mid-Cap ETF | $4,375,014,929 | $4,375,014,929 ▲ | New Holding | 16,563,870 | 0.4% | ETF |
BRK.B Berkshire Hathaway | $4,321,817,744 | $3,349,233,412 ▲ | 344.4% | 9,534,543 | 0.4% | Finance |
SMH VanEck Semiconductor ETF | $4,271,494,869 | $4,271,494,869 ▲ | New Holding | 17,638,415 | 0.4% | Manufacturing |
HYG iShares iBoxx $ High Yield Corporate Bond ETF | $4,246,589,870 | $4,246,589,870 ▲ | New Holding | 53,993,514 | 0.4% | ETF |
AGG iShares Core U.S. Aggregate Bond ETF | $4,240,174,062 | $4,240,174,062 ▲ | New Holding | 43,758,246 | 0.4% | Finance |
IJH iShares Core S&P Mid-Cap ETF | $4,223,862,649 | $4,223,862,649 ▲ | New Holding | 67,787,878 | 0.4% | ETF |
XLC Communication Services Select Sector SPDR Fund | $4,205,325,182 | $4,205,325,182 ▲ | New Holding | 43,438,954 | 0.4% | ETF |
XLY Consumer Discretionary Select Sector SPDR Fund | $4,175,542,982 | $4,175,542,982 ▲ | New Holding | 18,611,736 | 0.4% | Finance |
UNH UnitedHealth Group | $4,093,391,446 | $4,093,391,446 ▲ | New Holding | 8,091,946 | 0.3% | Medical |
MCD McDonald's | $3,861,836,524 | $3,861,836,524 ▲ | New Holding | 13,321,731 | 0.3% | Retail/Wholesale |
SCHO Schwab Short-Term U.S. Treasury ETF | $3,855,483,832 | $3,855,483,832 ▲ | New Holding | 160,244,548 | 0.3% | ETF |
MRK Merck & Co., Inc. | $3,846,278,978 | $3,846,278,978 ▲ | New Holding | 38,663,842 | 0.3% | Medical |
VTI Vanguard Total Stock Market ETF | $3,815,936,456 | $3,815,936,456 ▲ | New Holding | 13,167,028 | 0.3% | ETF |
RSP Invesco S&P 500 Equal Weight ETF | $3,796,526,765 | $3,796,526,765 ▲ | New Holding | 21,665,963 | 0.3% | ETF |
ETN Eaton | $3,795,291,950 | $3,795,291,950 ▲ | New Holding | 11,436,080 | 0.3% | Industrials |
CVX Chevron | $3,792,032,211 | $3,792,032,211 ▲ | New Holding | 26,180,835 | 0.3% | Energy |
VGIT Vanguard Intermediate-Term Treasury Index ETF | $3,715,988,723 | $3,715,988,723 ▲ | New Holding | 64,068,771 | 0.3% | ETF |
IJR iShares Core S&P Small-Cap ETF | $3,694,703,070 | $3,694,703,070 ▲ | New Holding | 32,066,508 | 0.3% | ETF |
PEP PepsiCo | $3,680,550,161 | $3,680,550,161 ▲ | New Holding | 24,204,592 | 0.3% | Consumer Staples |
VBR Vanguard Small-Cap Value ETF | $3,656,861,293 | $3,656,861,293 ▲ | New Holding | 18,452,222 | 0.3% | ETF |
IBM International Business Machines | $3,633,834,686 | $3,633,834,686 ▲ | New Holding | 16,530,204 | 0.3% | Computer and Technology |
CRM Salesforce | $3,583,264,695 | $3,583,264,695 ▲ | New Holding | 10,717,749 | 0.3% | Computer and Technology |
GLD SPDR Gold Shares | $3,578,301,702 | $3,578,301,702 ▲ | New Holding | 14,778,432 | 0.3% | Finance |
COWZ Pacer US Cash Cows 100 ETF | $3,564,556,199 | $3,564,556,199 ▲ | New Holding | 63,111,831 | 0.3% | ETF |
XLE Energy Select Sector SPDR Fund | $3,481,353,705 | $3,481,353,705 ▲ | New Holding | 40,641,533 | 0.3% | ETF |
PGR Progressive | $3,474,088,010 | $3,474,088,010 ▲ | New Holding | 14,498,927 | 0.3% | Finance |
EFA iShares MSCI EAFE ETF | $3,440,569,946 | $3,440,569,946 ▲ | New Holding | 45,504,165 | 0.3% | Finance |
NOW ServiceNow | $3,419,974,293 | $3,419,974,293 ▲ | New Holding | 3,226,026 | 0.3% | Computer and Technology |
VMBS Vanguard Mortgage-Backed Securities ETF | $3,317,728,243 | $3,317,728,243 ▲ | New Holding | 73,174,421 | 0.3% | ETF |
MUB iShares National Muni Bond ETF | $3,290,390,724 | $3,290,390,724 ▲ | New Holding | 30,881,189 | 0.3% | ETF |
JNJ Johnson & Johnson | $3,281,942,497 | $3,281,942,497 ▲ | New Holding | 22,693,559 | 0.3% | Medical |
HON Honeywell International | $3,213,615,223 | $3,213,615,223 ▲ | New Holding | 14,226,460 | 0.3% | Multi-Sector Conglomerates |
XLK Technology Select Sector SPDR Fund | $3,119,187,469 | $3,119,187,469 ▲ | New Holding | 13,414,706 | 0.3% | ETF |
RTX RTX | $3,086,917,133 | $1,530,976,834 ▲ | 98.4% | 26,675,745 | 0.3% | Aerospace |
CSCO Cisco Systems | $3,035,570,300 | $3,035,570,300 ▲ | New Holding | 51,276,525 | 0.3% | Computer and Technology |
VONG Vanguard Russell 1000 Growth ETF | $3,006,965,934 | $3,006,965,934 ▲ | New Holding | 29,109,060 | 0.3% | ETF |
PANW Palo Alto Networks | $2,951,138,574 | $2,951,138,574 ▲ | New Holding | 16,218,612 | 0.2% | Computer and Technology |
MA Mastercard | $2,919,711,651 | $2,919,711,651 ▲ | New Holding | 5,544,774 | 0.2% | Business Services |
ORCL Oracle | $2,902,007,921 | $2,902,007,921 ▲ | New Holding | 17,414,834 | 0.2% | Computer and Technology |
TXN Texas Instruments | $2,889,814,343 | $2,889,814,343 ▲ | New Holding | 15,411,521 | 0.2% | Computer and Technology |
WFC Wells Fargo & Company | $2,889,547,741 | $2,889,547,741 ▲ | New Holding | 41,138,208 | 0.2% | Finance |
MS Morgan Stanley | $2,758,282,731 | $2,758,282,731 ▲ | New Holding | 21,939,888 | 0.2% | Finance |
VFH Vanguard Financials ETF | $2,716,041,860 | $2,716,041,860 ▲ | New Holding | 23,003,658 | 0.2% | ETF |
VBK Vanguard Small-Cap Growth ETF | $2,681,548,892 | $2,681,548,892 ▲ | New Holding | 9,574,909 | 0.2% | ETF |
BSX Boston Scientific | $2,619,731,379 | $2,619,731,379 ▲ | New Holding | 29,329,729 | 0.2% | Medical |
WMB Williams Companies | $2,602,424,530 | $2,602,424,530 ▲ | New Holding | 48,086,189 | 0.2% | Energy |
EEM iShares MSCI Emerging Markets ETF | $2,502,422,917 | $2,502,422,917 ▲ | New Holding | 59,837,946 | 0.2% | Finance |
UNP Union Pacific | $2,475,702,501 | $2,475,702,501 ▲ | New Holding | 10,856,440 | 0.2% | Transportation |
SPGI S&P Global | $2,470,269,927 | $2,470,269,927 ▲ | New Holding | 4,960,082 | 0.2% | Business Services |
LOW Lowe's Companies | $2,469,445,412 | $2,469,445,412 ▲ | New Holding | 10,005,857 | 0.2% | Retail/Wholesale |
ACN Accenture | $2,453,328,034 | $2,453,328,034 ▲ | New Holding | 6,973,842 | 0.2% | Computer and Technology |
AXP American Express | $2,451,601,058 | $865,981,250 ▲ | 54.6% | 8,260,390 | 0.2% | Finance |
PH Parker-Hannifin | $2,449,122,872 | $2,449,122,872 ▲ | New Holding | 3,850,640 | 0.2% | Industrials |