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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 2026-03-31

Top 150 positions shownTop-10 holdings weight: 36.5%as of 2026-03-31
#HoldingWeightValue
1NVIDIA CorpNVDA7.58%$107.70B
2Apple IncAAPL6.66%$94.68B
3Microsoft CorpMSFT4.91%$69.85B
4Amazon.com IncAMZN3.64%$51.70B
5Alphabet IncGOOGL2.99%$42.54B
6Broadcom IncAVGO2.62%$37.29B
7Alphabet IncGOOG2.40%$34.09B
8Meta Platforms IncMETA2.24%$31.80B
9Tesla IncTSLA1.87%$26.57B
10Berkshire Hathaway IncBRK/B1.57%$22.33B
11JPMorgan Chase & CoJPM1.34%$19.00B
12Eli Lilly & CoLLY1.30%$18.52B
13Exxon Mobil Corp1.27%$18.02B
14Johnson & JohnsonJNJ1.05%$14.97B
15Walmart IncWMT0.97%$13.84B
16Visa IncV0.89%$12.65B
17Costco Wholesale CorpCOST0.79%$11.24B
18Mastercard IncMA0.73%$10.34B
19Netflix IncNFLX0.73%$10.32B
20Chevron CorpCVX0.69%$9.85B
21AbbVie IncABBV0.69%$9.77B
22Micron Technology IncMU0.68%$9.66B
23Procter & Gamble Co/ThePG0.60%$8.53B
24Palantir Technologies IncPLTR0.60%$8.49B
25Advanced Micro Devices IncAMD0.59%$8.43B
26Caterpillar IncCAT0.59%$8.38B
27Home Depot Inc/TheHD0.59%$8.32B
28Bank of America CorpBAC0.56%$7.92B
29Cisco Systems IncCSCO0.55%$7.79B
30Merck & Co IncMRK0.53%$7.59B
31General Electric CoGE0.53%$7.56B
32Coca-Cola Co/TheKO0.53%$7.48B
33Applied Materials IncAMAT0.49%$6.89B
34Lam Research CorpLRCX0.48%$6.78B
35RTX CorpRTX0.46%$6.58B
36Philip Morris International IncPM0.46%$6.54B
37Oracle CorpORCL0.45%$6.34B
38Wells Fargo & CoWFC0.44%$6.26B
39UnitedHealth Group IncUNH0.44%$6.23B
40Goldman Sachs Group Inc/TheGS0.43%$6.12B
41GE Vernova IncGEV0.42%$5.98B
42Linde PLC0.41%$5.88B
43International Business Machines CorpIBM0.41%$5.76B
44McDonald's CorpMCD0.40%$5.62B
45PepsiCo IncPEP0.38%$5.39B
46Verizon Communications IncVZ0.38%$5.38B
47Intel CorpINTC0.37%$5.27B
48Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.37%$5.20B
49AT&T IncT0.36%$5.16B
50Morgan StanleyMS0.35%$5.03B
51NextEra Energy IncNEE0.35%$4.92B
52KLA CorpKLAC0.35%$4.91B
53Citigroup IncC0.34%$4.86B
54Amgen IncAMGN0.34%$4.81B
55Thermo Fisher Scientific IncTMO0.33%$4.69B
56Abbott LaboratoriesABT0.32%$4.54B
57TJX Cos Inc/TheTJX0.32%$4.51B
58Texas Instruments IncTXN0.32%$4.48B
59Salesforce IncCRM0.31%$4.44B
60Gilead Sciences IncGILD0.31%$4.39B
61Walt Disney Co/The0.31%$4.34B
62Intuitive Surgical Inc0.29%$4.16B
63American Express Co0.29%$4.12B
64ConocoPhillips0.29%$4.11B
65Pfizer Inc0.29%$4.06B
66Charles Schwab Corp/The0.28%$3.99B
67Boeing Co/The0.28%$3.97B
68Analog Devices Inc0.28%$3.95B
69Amphenol Corp0.28%$3.95B
70Uber Technologies Inc0.26%$3.76B
71Union Pacific Corp0.26%$3.66B
72Honeywell International Inc0.26%$3.65B
73Deere & Co0.25%$3.61B
74Eaton Corp PLC0.25%$3.53B
75BlackRock Funding Inc/DE0.25%$3.53B
76Welltower Inc0.25%$3.51B
77QUALCOMM Inc0.25%$3.49B
78Booking Holdings Inc0.24%$3.45B
79Lowe's Cos Inc0.24%$3.37B
80S&P Global Inc0.23%$3.31B
81Palo Alto Networks Inc0.23%$3.29B
82Arista Networks Inc0.23%$3.22B
83Bristol-Myers Squibb Co0.22%$3.14B
84Prologis Inc0.22%$3.12B
85Lockheed Martin Corp0.22%$3.11B
86Accenture PLC0.22%$3.10B
87Intuit Inc0.22%$3.06B
88Danaher Corp0.21%$3.03B
89Chubb Ltd0.21%$3.01B
90Newmont Corp0.21%$3.00B
91Progressive Corp/The0.21%$2.95B
92Capital One Financial Corp0.20%$2.90B
93Vertex Pharmaceuticals Inc0.20%$2.88B
94Stryker Corp0.20%$2.88B
95Parker-Hannifin Corp0.20%$2.87B
96Medtronic PLC0.20%$2.82B
97Altria Group Inc0.20%$2.82B
98ServiceNow Inc0.20%$2.78B
99AppLovin Corp0.19%$2.74B
100CME Group Inc0.19%$2.71B
101Southern Co/The0.19%$2.70B
102Corning Inc0.19%$2.70B
103McKesson Corp0.19%$2.69B
104Comcast Corp0.18%$2.62B
105Starbucks Corp0.18%$2.59B
106Duke Energy Corp0.18%$2.59B
107Adobe Inc0.18%$2.54B
108T-Mobile US Inc0.18%$2.53B
109Crowdstrike Holdings Inc0.18%$2.50B
110Equinix Inc0.17%$2.45B
111Vertiv Holdings Co0.17%$2.44B
112Sandisk Corp/DE0.17%$2.38B
113Boston Scientific Corp0.17%$2.36B
114Howmet Aerospace Inc0.17%$2.35B
115Trane Technologies PLC0.16%$2.34B
116Western Digital Corp0.16%$2.33B
117CVS Health Corp0.16%$2.32B
118Northrop Grumman Corp0.16%$2.31B
119Intercontinental Exchange Inc0.16%$2.27B
120Williams Cos Inc/The0.16%$2.26B
121General Dynamics Corp0.16%$2.21B
122Constellation Energy Corp0.16%$2.21B
123Blackstone Inc0.15%$2.19B
124Seagate Technology Holdings PLC0.15%$2.17B
125Waste Management Inc0.15%$2.17B
126Freeport-McMoRan Inc0.15%$2.15B
127PNC Financial Services Group Inc/The0.15%$2.14B
128Marsh & McLennan Cos Inc0.15%$2.13B
129Quanta Services Inc0.15%$2.08B
130Automatic Data Processing Inc0.15%$2.08B
131Bank of New York Mellon Corp/The0.15%$2.07B
132US Bancorp0.14%$2.05B
133American Tower Corp0.14%$2.05B
134Johnson Controls International plc0.14%$2.04B
135EOG Resources Inc0.14%$1.99B
136Regeneron Pharmaceuticals Inc0.14%$1.98B
137O'Reilly Automotive Inc0.14%$1.97B
138FedEx Corp0.14%$1.96B
139SLB Ltd0.14%$1.95B
1403M Co0.14%$1.94B
141CSX Corp0.14%$1.94B
142Synopsys Inc0.14%$1.93B
143Cadence Design Systems Inc0.14%$1.92B
144Valero Energy Corp0.13%$1.92B
145Cummins Inc0.13%$1.89B
146HCA Healthcare Inc0.13%$1.88B
147Sherwin-Williams Co/The0.13%$1.88B
148Mondelez International Inc0.13%$1.88B
149Emerson Electric Co0.13%$1.87B
150Phillips 660.13%$1.87B
VOO stock page →ETF holdings →Sector heatmap →

ETF holdings

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