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.
- Ishares TRIXUS23.2% of the fund+2%
- Ishares TRAGG9.4% of the fund+9%
- Ishares TRISTB4.0% of the fund+8%
- Ishares TRESGD1.1% of the fund+4%
- Proshares TRBITO0.5% of the fund+18%
- NvidiaNVDA0.2% of the fund+7%
- Ishares TRGOVT0.2% of the fund+7%
- Ishares TRMBB0.2% of the fund+7%
- Ishares TRSUSC0.2% of the fund+6%
- Ishares TRSHY0.1% of the fund+6%
- Ishares TRSUSB0.1% of the fund+6%
- TeslaTSLA0.1% of the fund+9%
- AppleAAPL<0.1% of the fund+5%
- Amazon.comAMZN<0.1% of the fund+7%
- Select Sector Spdr TRXLK<0.1% of the fund+3%
- MicrosoftMSFT<0.1% of the fund+15%
- Meta PlatformsMETA<0.1% of the fund+17%
- AlphabetGOOG<0.1% of the fund+6%
- AlphabetGOOGL<0.1% of the fund+10%
- BroadcomAVGO<0.1% of the fund+9%
- Eli LillyLLY<0.1% of the fund+11%
- Berkshire HathawayBRK-B<0.1% of the fund+4%
- GE VernovaGEV<0.1% of the fund+6%
- J P Morgan Exchange Traded FJEPI<0.1% of the fund+18%
- Costco WholesaleCOST<0.1% of the fund+20%
Cut
Sold some of their stake.
- IsharesESGE0.4% of the fund-2%
- Advanced Micro DevicesAMD<0.1% of the fund-7%
- IntelINTC<0.1% of the fund-14%
- UnitedHealth GroupUNH<0.1% of the fund-8%
- CVS HealthCVS<0.1% of the fund-11%
- Bank of AmericaBAC<0.1% of the fund-4%
- 3MMMM<0.1% of the fund-4%
Sold out
Sold their entire stake.
- BlackstoneBX-100%
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
- 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%
- Select Sector Spdr TRXLK
- Share
- <0.1%
- Value
- $7m
- Shares
- 38,056
+3%
- J P Morgan Exchange Traded FJEPI
- Share
- <0.1%
- Value
- $3m
- Shares
- 44,426
+18%
- Select Sector Spdr TRXLE
- Share
- <0.1%
- Value
- $2m
- Shares
- 31,575
+15%
- Select Sector Spdr TRXLF
- Share
- <0.1%
- Value
- $1m
- Shares
- 20,421
+9%
- Select Sector Spdr TRXLV
- Share
- <0.1%
- Value
- $865,000
- Shares
- 5,450
+10%
- Select Sector Spdr TRXLU
- Share
- <0.1%
- Value
- $766,000
- Shares
- 16,896
+21%
- Select Sector Spdr TRXLI
- Share
- <0.1%
- Value
- $717,000
- Shares
- 3,872
+15%
- Space Exploration TechnologiesSPCX
- Share
- <0.1%
- Value
- $535,000
- Shares
- 3,131
New
- ARK ETF TRARKG
- Share
- <0.1%
- Value
- $509,000
- Shares
- 12,107
Held
- Select Sector Spdr TRXLC
- Share
- <0.1%
- Value
- $455,000
- Shares
- 4,249
+13%
- 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%
| Company | Share of fund | Value | Shares | Change |
|---|---|---|---|---|
| Vanguard Index FDSVOO | 43.5% | $6.7bn | 9,716,948 | Held |
| Ishares TRIXUS | 23.2% | $3.6bn | 37,327,069 | +2% |
| Ishares TRAGG | 9.4% | $1.4bn | 14,625,279 | +9% |
| Ishares TRIJH | 7.1% | $1.1bn | 14,093,257 | Held |
| Ishares TRISTB | 4.0% | $616m | 12,768,271 | +8% |
| Ishares TRIJR | 3.6% | $545m | 3,675,530 | Held |
| Ishares TRESGU | 2.8% | $433m | 2,646,512 | Held |
| Ishares TRESGD | 1.1% | $169m | 1,642,193 | +4% |
| Proshares TRBITO | 0.5% | $73m | 9,189,016 | +18% |
| Ishares TRSUSA | 0.5% | $70m | 451,365 | Held |
| IsharesESGE | 0.4% | $65m | 1,187,994 | -2% |
| Goldman Sachs ETF TRGBIL | 0.4% | $54m | 544,006 | Held |
| Ishares TRSHV | 0.4% | $54m | 493,047 | Held |
| Ishares TRICSH | 0.4% | $54m | 1,074,931 | Held |
| J P Morgan Exchange Traded FJPST | 0.4% | $54m | 1,074,374 | Held |
| Spdr Series TrustBIL | 0.4% | $54m | 592,581 | Held |
| Ishares TRESML | 0.2% | $36m | 639,445 | Held |
| NvidiaNVDA | 0.2% | $31m | 154,002 | +7% |
| Ishares TRGOVT | 0.2% | $29m | 1,289,961 | +7% |
| Ishares TRMBB | 0.2% | $28m | 296,322 | +7% |
| Ishares TRSUSC | 0.2% | $25m | 1,092,474 | +6% |
| Ishares TRSHY | 0.1% | $17m | 213,105 | +6% |
| Ishares TRSUSB | 0.1% | $17m | 698,679 | +6% |
| TeslaTSLA | 0.1% | $15m | 36,762 | +9% |
| AppleAAPL | <0.1% | $12m | 42,388 | +5% |
| Amazon.comAMZN | <0.1% | $11m | 48,042 | +7% |
| Advanced Micro DevicesAMD | <0.1% | $9m | 14,921 | -7% |
| Select Sector Spdr TRXLK | <0.1% | $7m | 38,056 | +3% |
| MicrosoftMSFT | <0.1% | $6m | 16,698 | +15% |
| Meta PlatformsMETA | <0.1% | $4m | 7,321 | +17% |
| AlphabetGOOG | <0.1% | $4m | 10,617 | +6% |
| AlphabetGOOGL | <0.1% | $4m | 10,333 | +10% |
| IntelINTC | <0.1% | $3m | 24,002 | -14% |
| BroadcomAVGO | <0.1% | $3m | 8,213 | +9% |
| Eli LillyLLY | <0.1% | $3m | 2,555 | +11% |
| Berkshire HathawayBRK-B | <0.1% | $3m | 5,505 | +4% |
| GE VernovaGEV | <0.1% | $3m | 2,152 | +6% |
| J P Morgan Exchange Traded FJEPI | <0.1% | $3m | 44,426 | +18% |
| Costco WholesaleCOST | <0.1% | $2m | 2,618 | +20% |
| ExxonMobil HoldingsXOM | <0.1% | $2m | 15,001 | +22% |
| ChevronCVX | <0.1% | $2m | 11,219 | +24% |
| CaterpillarCAT | <0.1% | $2m | 1,701 | +7% |
| WalmartWMT | <0.1% | $2m | 15,128 | +16% |
| Select Sector Spdr TRXLE | <0.1% | $2m | 31,575 | +15% |
| NetflixNFLX | <0.1% | $1m | 20,987 | +23% |
| General ElectricGE | <0.1% | $1m | 3,970 | +7% |
| Coca-ColaKO | <0.1% | $1m | 17,255 | +13% |
| OracleORCL | <0.1% | $1m | 8,399 | +7% |
| Lockheed MartinLMT | <0.1% | $1m | 2,282 | +26% |
| UnitedHealth GroupUNH | <0.1% | $1m | 2,706 | -8% |
| Select Sector Spdr TRXLF | <0.1% | $1m | 20,421 | +9% |
| JPMorgan ChaseJPM | <0.1% | $996,000 | 3,042 | +13% |
| Home DepotHD | <0.1% | $980,000 | 2,780 | +9% |
| BlackRockBLK | <0.1% | $888,000 | 923 | +10% |
| Select Sector Spdr TRXLV | <0.1% | $865,000 | 5,450 | +10% |
| Applied MaterialsAMAT | <0.1% | $816,000 | 1,128 | Held |
| International Business MachinesIBM | <0.1% | $780,000 | 2,773 | +18% |
| Select Sector Spdr TRXLU | <0.1% | $766,000 | 16,896 | +21% |
| Johnson & JohnsonJNJ | <0.1% | $758,000 | 2,984 | +11% |
| McDonald'sMCD | <0.1% | $728,000 | 2,692 | +20% |
| Select Sector Spdr TRXLI | <0.1% | $717,000 | 3,872 | +15% |
| StarbucksSBUX | <0.1% | $676,000 | 6,618 | Held |
| BoeingBA | <0.1% | $648,000 | 2,995 | +2% |
| PrologisPLD | <0.1% | $620,000 | 4,579 | +6% |
| Walt DisneyDIS | <0.1% | $601,000 | 6,240 | +9% |
| VisaV | <0.1% | $575,000 | 1,676 | +8% |
| NikeNKE | <0.1% | $560,000 | 13,634 | +42% |
| American ExpressAXP | <0.1% | $555,000 | 1,640 | +7% |
| Duke EnergyDUK | <0.1% | $537,000 | 4,246 | +8% |
| Space Exploration TechnologiesSPCX | <0.1% | $535,000 | 3,131 | New |
| RTXRTX | <0.1% | $523,000 | 2,757 | +21% |
| ARK ETF TRARKG | <0.1% | $509,000 | 12,107 | Held |
| Cisco SystemsCSCO | <0.1% | $502,000 | 4,273 | +4% |
| American TowerAMT | <0.1% | $501,000 | 3,065 | +7% |
| DeereDE | <0.1% | $497,000 | 784 | +12% |
| NextEra EnergyNEE | <0.1% | $487,000 | 5,547 | +25% |
| United Parcel ServiceUPS | <0.1% | $472,000 | 4,387 | +5% |
| PfizerPFE | <0.1% | $457,000 | 18,973 | +15% |
| Select Sector Spdr TRXLC | <0.1% | $455,000 | 4,249 | +13% |
| AbbVieABBV | <0.1% | $450,000 | 1,790 | +8% |
| QualcommQCOM | <0.1% | $438,000 | 2,371 | +5% |
| S&P GlobalSPGI | <0.1% | $422,000 | 1,035 | +7% |
| Southern CompanySO | <0.1% | $412,000 | 4,306 | +13% |
| Goldman Sachs GroupGS | <0.1% | $404,000 | 399 | +7% |
| Spdr Series TrustXRT | <0.1% | $402,000 | 4,579 | New |
| Select Sector Spdr TRXLP | <0.1% | $389,000 | 4,686 | +14% |
| Select Sector Spdr TRXLB | <0.1% | $378,000 | 7,427 | +15% |
| ConocoPhillipsCOP | <0.1% | $372,000 | 3,576 | +24% |
| Procter & GamblePG | <0.1% | $345,000 | 2,352 | +13% |
| SalesforceCRM | <0.1% | $342,000 | 2,183 | +26% |
| MerckMRK | <0.1% | $325,000 | 2,527 | Held |
| Altria GroupMO | <0.1% | $319,000 | 4,433 | +10% |
| CVS HealthCVS | <0.1% | $314,000 | 3,036 | -11% |
| ServiceNowNOW | <0.1% | $311,000 | 3,130 | +50% |
| Booking HoldingsBKNG | <0.1% | $298,000 | 1,672 | Held |
| Charles SchwabSCHW | <0.1% | $296,000 | 3,210 | +19% |
| Texas InstrumentsTXN | <0.1% | $281,000 | 944 | New |
| Intuitive SurgicalISRG | <0.1% | $275,000 | 692 | +18% |
| Lowe's CompaniesLOW | <0.1% | $271,000 | 1,231 | +16% |
| Verizon CommunicationsVZ | <0.1% | $265,000 | 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.