Vanguard Index Funds - Vanguard S&P 500 ETF

ARCA-VOO

ARCA:VOO

Top 20 Holdings out of 503

Ticker
Company
% Portfolio
Market Value
Shares
Chg. Shares %
Chg. Shares
% Owned
Microsoft Corporation Website

MSFT

Microsoft Corporation

6.8%$97.07B210.0M

1.6%

3.4M2.8%
NVIDIA Corporation Website

NVDA

NVIDIA Corporation

6.6%$93.95B691.7M

1.6%

11.0M2.8%
Apple Inc. Website

AAPL

Apple Inc.

6.0%$85.58B424.3M

1.6%

6.8M2.8%
Amazon.com, Inc. Website

AMZN

Amazon.com, Inc.

3.9%$54.92B266.4M

1.6%

4.3M2.5%
Meta Platforms, Inc. Website

META

Meta Platforms, Inc.

2.8%$40.30B61.9M

1.6%

987.2K2.8%
Broadcom Inc. Website

AVGO

Broadcom Inc.

2.3%$32.22B132.4M

1.6%

2.1M2.8%
Alphabet Inc. Website

GOOGL

Alphabet Inc.

2.0%$28.38B164.7M

1.6%

2.6M2.8%
Tesla, Inc. Website

TSLA

Tesla, Inc.

1.9%$27.53B79.0M

1.6%

1.3M2.5%
Berkshire Hathaway Inc. Website

BRK.B

Berkshire Hathaway Inc.

1.9%$26.25B51.8M

1.6%

826.4K3.9%
Alphabet Inc. Website

GOOG

Alphabet Inc.

1.6%$23.13B133.5M

1.6%

2.1M2.4%
JPMorgan Chase & Co. Website

JPM

JPMorgan Chase & Co.

1.5%$20.58B77.7M

-0.1%

-39.2K2.8%
Visa Inc. Website

V

Visa Inc.

1.3%$17.74B48.4M

1.6%

776.8K2.8%
Eli Lilly and Company Website

LLY

Eli Lilly and Company

1.2%$16.46B22.3M

1.6%

355.6K2.5%
Netflix, Inc. Website

NFLX

Netflix, Inc.

1.0%$14.62B12.1M

1.6%

193.6K2.8%
Mastercard Incorporated Website

MA

Mastercard Incorporated

1.0%$13.48B23.0M

1.6%

367.3K2.6%
Costco Wholesale Corporation Website

COST

Costco Wholesale Corporation

0.9%$13.06B12.5M

1.6%

200.3K2.8%
Exxon Mobil Corporation Website

XOM

Exxon Mobil Corporation

0.9%$12.63B122.9M

1.6%

2.0M2.9%
Walmart Inc. Website

WMT

Walmart Inc.

0.9%$12.20B122.5M

1.6%

2.0M1.5%
The Procter & Gamble Company Website

PG

The Procter & Gamble Company

0.8%$11.35B66.2M

1.6%

1.1M2.8%
UnitedHealth Group Incorporated Website

UNH

UnitedHealth Group Incorporated

0.6%$7.95B26.0M

1.6%

415.6K2.9%