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Home/ETF holdings/VOO

VOO holdingswhat does Vanguard S&P 500 ETF hold?

Largest positions from the fund’s most recent SEC Form N-PORT filing (reported quarterly, filed with a lag). Percentages are of net assets. SEC Form N-PORT · as of 2026-06-30

Top 150 positions shownTop-10 holdings weight: 36.4%as of 2026-06-30
#HoldingWeightValue
1NVIDIA CorpNVDA7.51%$125.58B
2Apple IncAAPL6.59%$110.13B
3Microsoft CorpMSFT4.30%$71.81B
4Amazon.com IncAMZN3.62%$60.46B
5Alphabet IncGOOGL3.25%$54.30B
6Broadcom IncAVGO2.77%$46.35B
7Alphabet IncGOOG2.59%$43.28B
8Micron Technology IncMU2.02%$33.74B
9Meta Platforms IncMETA1.92%$32.06B
10Tesla IncTSLA1.84%$30.69B
11Eli Lilly & CoLLY1.47%$24.59B
12Advanced Micro Devices IncAMD1.47%$24.55B
13Berkshire Hathaway IncBRK/B1.42%$23.77B
14JPMorgan Chase & CoJPM1.26%$20.99B
15Intel CorpINTC1.02%$17.10B
16Johnson & JohnsonJNJ0.95%$15.84B
17Applied Materials IncAMAT0.89%$14.87B
18Exxon Mobil Corp0.88%$14.68B
19Visa IncV0.87%$14.46B
20Lam Research CorpLRCX0.84%$14.04B
21Walmart IncWMT0.77%$12.87B
22Caterpillar IncCAT0.76%$12.71B
23Cisco Systems IncCSCO0.72%$12.02B
24AbbVie IncABBV0.69%$11.52B
25Costco Wholesale CorpCOST0.64%$10.75B
26Mastercard IncMA0.64%$10.74B
27KLA CorpKLAC0.61%$10.21B
28General Electric CoGE0.60%$10.10B
29UnitedHealth Group IncUNH0.59%$9.78B
30Bank of America CorpBAC0.58%$9.64B
31Home Depot Inc/TheHD0.54%$9.10B
32Procter & Gamble Co/ThePG0.53%$8.85B
33Sandisk CorpSNDK0.52%$8.72B
34Merck & Co IncMRK0.49%$8.22B
35GE Vernova IncGEV0.49%$8.18B
36Coca-Cola Co/TheKO0.49%$8.15B
37Chevron CorpCVX0.48%$8.04B
38Netflix IncNFLX0.47%$7.79B
39Philip Morris International IncPM0.44%$7.31B
40Palo Alto Networks IncPANW0.43%$7.17B
41Goldman Sachs Group Inc/TheGS0.43%$7.17B
42Texas Instruments IncTXN0.42%$7.03B
43Palantir Technologies IncPLTR0.42%$6.94B
44International Business Machines CorpIBM0.41%$6.85B
45Marvell Technology IncMRVL0.40%$6.76B
46RTX CorpRTX0.40%$6.62B
47Wells Fargo & CoWFC0.39%$6.55B
48Morgan StanleyMS0.39%$6.49B
49Oracle CorpORCL0.39%$6.44B
50Linde PLC0.37%$6.22B
51Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.34%$5.76B
52Western Digital CorpWDC0.34%$5.71B
53Citigroup IncC0.34%$5.69B
54Amphenol CorpAPH0.34%$5.62B
55Seagate Technology Holdings PLC0.34%$5.61B
56Corning IncGLW0.31%$5.18B
57Amgen IncAMGN0.30%$5.07B
58QUALCOMM IncQCOM0.30%$5.05B
59Crowdstrike Holdings IncCRWD0.30%$5.03B
60Analog Devices IncADI0.30%$5.02B
61McDonald's Corp0.30%$4.98B
62Thermo Fisher Scientific Inc0.29%$4.83B
63PepsiCo Inc0.29%$4.80B
64NextEra Energy Inc0.28%$4.74B
65American Express Co0.28%$4.66B
66Verizon Communications Inc0.27%$4.58B
67Arista Networks Inc0.27%$4.55B
68Boeing Co/The0.26%$4.42B
69TJX Cos Inc/The0.26%$4.34B
70Walt Disney Co/The0.26%$4.33B
71Eaton Corp PLC0.26%$4.29B
72Union Pacific Corp0.25%$4.18B
73Welltower Inc0.25%$4.15B
74Deere & Co0.25%$4.13B
75Abbott Laboratories0.25%$4.10B
76Gilead Sciences Inc0.24%$4.06B
77Charles Schwab Corp/The0.23%$3.91B
78Uber Technologies Inc0.23%$3.81B
79AT&T Inc0.22%$3.73B
80Intuitive Surgical Inc0.22%$3.65B
81BlackRock Funding Inc/DE0.22%$3.60B
82AppLovin Corp0.21%$3.59B
83Booking Holdings Inc0.21%$3.58B
84Pfizer Inc0.21%$3.56B
85CVS Health Corp0.20%$3.42B
86Vertiv Holdings Co0.20%$3.33B
87Salesforce Inc0.20%$3.31B
88Progressive Corp/The0.20%$3.31B
89ConocoPhillips0.20%$3.28B
90Prologis Inc0.20%$3.27B
91Vertex Pharmaceuticals Inc0.20%$3.27B
92Capital One Financial Corp0.19%$3.24B
93Dell Technologies Inc0.19%$3.23B
94Lowe's Cos Inc0.19%$3.20B
95S&P Global Inc0.19%$3.20B
96Parker-Hannifin Corp0.19%$3.19B
97Chubb Ltd0.19%$3.19B
98Altria Group Inc0.19%$3.11B
99Danaher Corp0.19%$3.11B
100Bristol-Myers Squibb Co0.18%$3.05B
101Starbucks Corp0.18%$3.02B
102Stryker Corp0.17%$2.82B
103Trane Technologies PLC0.17%$2.81B
104Quanta Services Inc0.17%$2.80B
105Southern Co/The0.17%$2.80B
106Howmet Aerospace Inc0.17%$2.79B
107Cadence Design Systems Inc0.16%$2.68B
108Lockheed Martin Corp0.16%$2.68B
109Equinix Inc0.16%$2.67B
110ServiceNow Inc0.16%$2.65B
111Medtronic PLC0.16%$2.60B
112Newmont Corp0.15%$2.58B
113Bank of New York Mellon Corp/The0.15%$2.57B
114PNC Financial Services Group Inc/The0.15%$2.56B
115Duke Energy Corp0.15%$2.56B
116Cummins Inc0.15%$2.55B
117Fortinet Inc0.15%$2.48B
118US Bancorp0.15%$2.43B
119Williams Cos Inc/The0.14%$2.36B
120McKesson Corp0.14%$2.35B
121Freeport-McMoRan Inc0.14%$2.34B
122General Dynamics Corp0.14%$2.33B
123Automatic Data Processing Inc0.14%$2.32B
124Johnson Controls International plc0.14%$2.31B
125CSX Corp0.14%$2.29B
126Comcast Corp0.14%$2.27B
127Blackstone Inc0.14%$2.27B
128Datadog Inc0.13%$2.23B
129Synopsys Inc0.13%$2.21B
1303M Co0.13%$2.19B
131Adobe Inc0.13%$2.15B
132Waste Management Inc0.13%$2.13B
133Marriott International Inc/MD0.13%$2.10B
134Elevance Health Inc0.12%$2.08B
135Marsh & McLennan Cos Inc0.12%$2.08B
136United Parcel Service Inc0.12%$2.08B
137Emerson Electric Co0.12%$2.08B
138CME Group Inc0.12%$2.07B
139Constellation Energy Corp0.12%$2.06B
140Robinhood Markets Inc0.12%$2.06B
141Royal Caribbean Cruises Ltd0.12%$2.05B
142Sherwin-Williams Co/The0.12%$2.05B
143T-Mobile US Inc0.12%$2.02B
144Valero Energy Corp0.12%$2.00B
145Coherent Corp0.12%$2.00B
146Accenture PLC0.12%$1.98B
147O'Reilly Automotive Inc0.12%$1.98B
148American Tower Corp0.12%$1.97B
149Teradyne Inc0.12%$1.96B
150Hilton Worldwide Holdings Inc0.12%$1.95B
VOO stock page →ETF holdings →Sector heatmap →

ETF holdings

XLKXLFXLVXLYXLPXLEXLIXLBXLREXLU

SEC Form N-PORT data · Reported quarterly, filed with a lag · For reference only · Not investment advice