Acorns Advisers

IRVINE, CAfiles as Acorns Advisers, LLC

$15.3bn in 107 US stocks at the end of 30 June 2026. The top 10 are 95.7% of the money. It changed about 1.4% of the portfolio this quarter.

Value
$15.3bn
Stocks
107
Top 10 share
95.7%
Turnover
1.4%

What changed this quarter

New

Bought for the first time this quarter.

  • Space Exploration TechnologiesSPCX
    <0.1% of the fund
  • Spdr Series TrustXRT
    <0.1% of the fund
  • Texas InstrumentsTXN
    <0.1% of the fund

Added

Bought more of a stock they already held.

Cut

Sold some of their stake.

Sold out

Sold their entire stake.

Holdings

  • Vanguard Index FDSVOO
    Share
    43.5%
    Value
    $6.7bn
    Shares
    9,716,948

    Held

  • Ishares TRIXUS
    Share
    23.2%
    Value
    $3.6bn
    Shares
    37,327,069

    +2%

  • Ishares TRAGG
    Share
    9.4%
    Value
    $1.4bn
    Shares
    14,625,279

    +9%

  • Ishares TRIJH
    Share
    7.1%
    Value
    $1.1bn
    Shares
    14,093,257

    Held

  • Ishares TRISTB
    Share
    4.0%
    Value
    $616m
    Shares
    12,768,271

    +8%

  • Ishares TRIJR
    Share
    3.6%
    Value
    $545m
    Shares
    3,675,530

    Held

  • Ishares TRESGU
    Share
    2.8%
    Value
    $433m
    Shares
    2,646,512

    Held

  • Ishares TRESGD
    Share
    1.1%
    Value
    $169m
    Shares
    1,642,193

    +4%

  • Proshares TRBITO
    Share
    0.5%
    Value
    $73m
    Shares
    9,189,016

    +18%

  • Ishares TRSUSA
    Share
    0.5%
    Value
    $70m
    Shares
    451,365

    Held

  • IsharesESGE
    Share
    0.4%
    Value
    $65m
    Shares
    1,187,994

    -2%

  • Goldman Sachs ETF TRGBIL
    Share
    0.4%
    Value
    $54m
    Shares
    544,006

    Held

  • Ishares TRSHV
    Share
    0.4%
    Value
    $54m
    Shares
    493,047

    Held

  • Ishares TRICSH
    Share
    0.4%
    Value
    $54m
    Shares
    1,074,931

    Held

  • J P Morgan Exchange Traded FJPST
    Share
    0.4%
    Value
    $54m
    Shares
    1,074,374

    Held

  • Spdr Series TrustBIL
    Share
    0.4%
    Value
    $54m
    Shares
    592,581

    Held

  • Ishares TRESML
    Share
    0.2%
    Value
    $36m
    Shares
    639,445

    Held

  • NvidiaNVDA
    Share
    0.2%
    Value
    $31m
    Shares
    154,002

    +7%

  • Ishares TRGOVT
    Share
    0.2%
    Value
    $29m
    Shares
    1,289,961

    +7%

  • Ishares TRMBB
    Share
    0.2%
    Value
    $28m
    Shares
    296,322

    +7%

  • Ishares TRSUSC
    Share
    0.2%
    Value
    $25m
    Shares
    1,092,474

    +6%

  • Ishares TRSHY
    Share
    0.1%
    Value
    $17m
    Shares
    213,105

    +6%

  • Ishares TRSUSB
    Share
    0.1%
    Value
    $17m
    Shares
    698,679

    +6%

  • TeslaTSLA
    Share
    0.1%
    Value
    $15m
    Shares
    36,762

    +9%

  • AppleAAPL
    Share
    <0.1%
    Value
    $12m
    Shares
    42,388

    +5%

  • Amazon.comAMZN
    Share
    <0.1%
    Value
    $11m
    Shares
    48,042

    +7%

  • Advanced Micro DevicesAMD
    Share
    <0.1%
    Value
    $9m
    Shares
    14,921

    -7%

  • Select Sector Spdr TRXLK
    Share
    <0.1%
    Value
    $7m
    Shares
    38,056

    +3%

  • MicrosoftMSFT
    Share
    <0.1%
    Value
    $6m
    Shares
    16,698

    +15%

  • Meta PlatformsMETA
    Share
    <0.1%
    Value
    $4m
    Shares
    7,321

    +17%

  • AlphabetGOOG
    Share
    <0.1%
    Value
    $4m
    Shares
    10,617

    +6%

  • AlphabetGOOGL
    Share
    <0.1%
    Value
    $4m
    Shares
    10,333

    +10%

  • IntelINTC
    Share
    <0.1%
    Value
    $3m
    Shares
    24,002

    -14%

  • BroadcomAVGO
    Share
    <0.1%
    Value
    $3m
    Shares
    8,213

    +9%

  • Eli LillyLLY
    Share
    <0.1%
    Value
    $3m
    Shares
    2,555

    +11%

  • Berkshire HathawayBRK-B
    Share
    <0.1%
    Value
    $3m
    Shares
    5,505

    +4%

  • GE VernovaGEV
    Share
    <0.1%
    Value
    $3m
    Shares
    2,152

    +6%

  • J P Morgan Exchange Traded FJEPI
    Share
    <0.1%
    Value
    $3m
    Shares
    44,426

    +18%

  • Costco WholesaleCOST
    Share
    <0.1%
    Value
    $2m
    Shares
    2,618

    +20%

  • ExxonMobil HoldingsXOM
    Share
    <0.1%
    Value
    $2m
    Shares
    15,001

    +22%

  • ChevronCVX
    Share
    <0.1%
    Value
    $2m
    Shares
    11,219

    +24%

  • CaterpillarCAT
    Share
    <0.1%
    Value
    $2m
    Shares
    1,701

    +7%

  • WalmartWMT
    Share
    <0.1%
    Value
    $2m
    Shares
    15,128

    +16%

  • Select Sector Spdr TRXLE
    Share
    <0.1%
    Value
    $2m
    Shares
    31,575

    +15%

  • NetflixNFLX
    Share
    <0.1%
    Value
    $1m
    Shares
    20,987

    +23%

  • General ElectricGE
    Share
    <0.1%
    Value
    $1m
    Shares
    3,970

    +7%

  • Coca-ColaKO
    Share
    <0.1%
    Value
    $1m
    Shares
    17,255

    +13%

  • OracleORCL
    Share
    <0.1%
    Value
    $1m
    Shares
    8,399

    +7%

  • Lockheed MartinLMT
    Share
    <0.1%
    Value
    $1m
    Shares
    2,282

    +26%

  • UnitedHealth GroupUNH
    Share
    <0.1%
    Value
    $1m
    Shares
    2,706

    -8%

  • Select Sector Spdr TRXLF
    Share
    <0.1%
    Value
    $1m
    Shares
    20,421

    +9%

  • JPMorgan ChaseJPM
    Share
    <0.1%
    Value
    $996,000
    Shares
    3,042

    +13%

  • Home DepotHD
    Share
    <0.1%
    Value
    $980,000
    Shares
    2,780

    +9%

  • BlackRockBLK
    Share
    <0.1%
    Value
    $888,000
    Shares
    923

    +10%

  • Select Sector Spdr TRXLV
    Share
    <0.1%
    Value
    $865,000
    Shares
    5,450

    +10%

  • Applied MaterialsAMAT
    Share
    <0.1%
    Value
    $816,000
    Shares
    1,128

    Held

  • International Business MachinesIBM
    Share
    <0.1%
    Value
    $780,000
    Shares
    2,773

    +18%

  • Select Sector Spdr TRXLU
    Share
    <0.1%
    Value
    $766,000
    Shares
    16,896

    +21%

  • Johnson & JohnsonJNJ
    Share
    <0.1%
    Value
    $758,000
    Shares
    2,984

    +11%

  • McDonald'sMCD
    Share
    <0.1%
    Value
    $728,000
    Shares
    2,692

    +20%

  • Select Sector Spdr TRXLI
    Share
    <0.1%
    Value
    $717,000
    Shares
    3,872

    +15%

  • StarbucksSBUX
    Share
    <0.1%
    Value
    $676,000
    Shares
    6,618

    Held

  • BoeingBA
    Share
    <0.1%
    Value
    $648,000
    Shares
    2,995

    +2%

  • PrologisPLD
    Share
    <0.1%
    Value
    $620,000
    Shares
    4,579

    +6%

  • Walt DisneyDIS
    Share
    <0.1%
    Value
    $601,000
    Shares
    6,240

    +9%

  • VisaV
    Share
    <0.1%
    Value
    $575,000
    Shares
    1,676

    +8%

  • NikeNKE
    Share
    <0.1%
    Value
    $560,000
    Shares
    13,634

    +42%

  • American ExpressAXP
    Share
    <0.1%
    Value
    $555,000
    Shares
    1,640

    +7%

  • Duke EnergyDUK
    Share
    <0.1%
    Value
    $537,000
    Shares
    4,246

    +8%

  • Space Exploration TechnologiesSPCX
    Share
    <0.1%
    Value
    $535,000
    Shares
    3,131

    New

  • RTXRTX
    Share
    <0.1%
    Value
    $523,000
    Shares
    2,757

    +21%

  • ARK ETF TRARKG
    Share
    <0.1%
    Value
    $509,000
    Shares
    12,107

    Held

  • Cisco SystemsCSCO
    Share
    <0.1%
    Value
    $502,000
    Shares
    4,273

    +4%

  • American TowerAMT
    Share
    <0.1%
    Value
    $501,000
    Shares
    3,065

    +7%

  • DeereDE
    Share
    <0.1%
    Value
    $497,000
    Shares
    784

    +12%

  • NextEra EnergyNEE
    Share
    <0.1%
    Value
    $487,000
    Shares
    5,547

    +25%

  • United Parcel ServiceUPS
    Share
    <0.1%
    Value
    $472,000
    Shares
    4,387

    +5%

  • PfizerPFE
    Share
    <0.1%
    Value
    $457,000
    Shares
    18,973

    +15%

  • Select Sector Spdr TRXLC
    Share
    <0.1%
    Value
    $455,000
    Shares
    4,249

    +13%

  • AbbVieABBV
    Share
    <0.1%
    Value
    $450,000
    Shares
    1,790

    +8%

  • QualcommQCOM
    Share
    <0.1%
    Value
    $438,000
    Shares
    2,371

    +5%

  • S&P GlobalSPGI
    Share
    <0.1%
    Value
    $422,000
    Shares
    1,035

    +7%

  • Southern CompanySO
    Share
    <0.1%
    Value
    $412,000
    Shares
    4,306

    +13%

  • Goldman Sachs GroupGS
    Share
    <0.1%
    Value
    $404,000
    Shares
    399

    +7%

  • Spdr Series TrustXRT
    Share
    <0.1%
    Value
    $402,000
    Shares
    4,579

    New

  • Select Sector Spdr TRXLP
    Share
    <0.1%
    Value
    $389,000
    Shares
    4,686

    +14%

  • Select Sector Spdr TRXLB
    Share
    <0.1%
    Value
    $378,000
    Shares
    7,427

    +15%

  • ConocoPhillipsCOP
    Share
    <0.1%
    Value
    $372,000
    Shares
    3,576

    +24%

  • Procter & GamblePG
    Share
    <0.1%
    Value
    $345,000
    Shares
    2,352

    +13%

  • SalesforceCRM
    Share
    <0.1%
    Value
    $342,000
    Shares
    2,183

    +26%

  • MerckMRK
    Share
    <0.1%
    Value
    $325,000
    Shares
    2,527

    Held

  • Altria GroupMO
    Share
    <0.1%
    Value
    $319,000
    Shares
    4,433

    +10%

  • CVS HealthCVS
    Share
    <0.1%
    Value
    $314,000
    Shares
    3,036

    -11%

  • ServiceNowNOW
    Share
    <0.1%
    Value
    $311,000
    Shares
    3,130

    +50%

  • Booking HoldingsBKNG
    Share
    <0.1%
    Value
    $298,000
    Shares
    1,672

    Held

  • Charles SchwabSCHW
    Share
    <0.1%
    Value
    $296,000
    Shares
    3,210

    +19%

  • Texas InstrumentsTXN
    Share
    <0.1%
    Value
    $281,000
    Shares
    944

    New

  • Intuitive SurgicalISRG
    Share
    <0.1%
    Value
    $275,000
    Shares
    692

    +18%

  • Lowe's CompaniesLOW
    Share
    <0.1%
    Value
    $271,000
    Shares
    1,231

    +16%

  • Verizon CommunicationsVZ
    Share
    <0.1%
    Value
    $265,000
    Shares
    6,248

    +8%

Showing the largest 100 of 107.

Over time and by industry

Value over time

Jun '25
 
Dec '25
 
Jun '26

Value is up 31.6% since 30 June 2025.

Where the money is

Technology0.5%
Retail & consumer0.2%
Media & telecom0.1%
Industrials0.1%
Financial services0.0%
Health care0.0%
Everyday goods0.0%
Energy0.0%
Utilities0.0%
Real estate0.0%
Other99.0%

From the fund's 13F filings. They list US stocks and options only, 45 days after each quarter, and leave out cash, bonds, shorts and foreign shares.