Acropolis Investment Management

ST. LOUIS, MOfiles as Acropolis Investment Management, LLC

$2.5bn in 384 US stocks at the end of 30 June 2026. The top 10 are 62.1% of the money. It changed about 3.9% of the portfolio this quarter.

Value
$2.5bn
Stocks
384
Top 10 share
62.1%
Turnover
3.9%

What changed this quarter

New

Bought for the first time this quarter.

Added

Bought more of a stock they already held.

  • Dimensional ETF TrustDFCF
    6.8% of the fund
    +17%
  • Vanguard Scottsdale FDSVGIT
    6.4% of the fund
    +28%
  • Ishares TRIGIB
    4.7% of the fund
    +7%
  • J P Morgan Exchange Traded FJMTG
    4.2% of the fund
    +21%
  • Vanguard Malvern FDSVCRB
    0.9% of the fund
    +3%
  • IsharesIEMG
    0.5% of the fund
    +2%
  • Amazon.comAMZN
    0.3% of the fund
    +4%
  • Vanguard Scottsdale FDSVCIT
    0.3% of the fund
    +5%
  • Vanguard Index FDSVTV
    0.2% of the fund
    +9%
  • Ishares TRIEI
    0.2% of the fund
    +34%
  • Sensient TechnologiesSXT
    0.2% of the fund
    +21%
  • Vanguard Index FDSVBK
    0.2% of the fund
    +3%
  • American Centy ETF TRAVSC
    0.1% of the fund
    +8%
  • Vanguard Index FDSVBR
    0.1% of the fund
    +5%
  • Eli LillyLLY
    <0.1% of the fund
    +3%
  • AlphabetGOOG
    <0.1% of the fund
    +9%
  • Select Sector Spdr TRXLE
    <0.1% of the fund
    +10%
  • First TR Exchange-Traded FDGRID
    <0.1% of the fund
    +4%
  • Global X FDSAIQ
    <0.1% of the fund
    +10%
  • Global X FDSBOTZ
    <0.1% of the fund
    +10%
  • Invesco Exchange Traded FD TPPA
    <0.1% of the fund
    +9%
  • AT&TT
    <0.1% of the fund
    +201%
  • Vanguard World FDVGT
    <0.1% of the fund
    +65%
  • BroadcomAVGO
    <0.1% of the fund
    +15%
  • Ishares TREAGG
    <0.1% of the fund
    +46%

Cut

Sold some of their stake.

  • Vanguard Index FDSVV
    2.2% of the fund
    -2%
  • Ishares TRMTUM
    1.9% of the fund
    -3%
  • Vanguard BD Index FDSBND
    1.8% of the fund
    -19%
  • Ishares TRIEFA
    1.6% of the fund
    -5%
  • AppleAAPL
    1.0% of the fund
    -3%
  • Vanguard Scottsdale FDSVGSH
    0.9% of the fund
    -35%
  • Ishares TRIVW
    0.8% of the fund
    -3%
  • Vanguard Scottsdale FDSVMBS
    0.8% of the fund
    -19%
  • Ishares TRIVV
    0.8% of the fund
    -3%
  • Vanguard Index FDSVB
    0.8% of the fund
    -3%
  • MicrosoftMSFT
    0.6% of the fund
    -8%
  • Ishares TRIVE
    0.5% of the fund
    -3%
  • NvidiaNVDA
    0.4% of the fund
    -10%
  • Ishares TRIEF
    0.3% of the fund
    -8%
  • Ishares TRIWR
    0.2% of the fund
    -3%
  • Ishares TRIWM
    0.2% of the fund
    -5%
  • Select Sector Spdr TRXLK
    0.2% of the fund
    -7%
  • Ishares TRIYW
    0.2% of the fund
    -2%
  • VisaV
    0.2% of the fund
    -5%
  • Vanguard Index FDSVTI
    0.2% of the fund
    -2%
  • Micron TechnologyMU
    0.2% of the fund
    -22%
  • UnitedHealth GroupUNH
    0.2% of the fund
    -4%
  • Ishares TREFA
    0.2% of the fund
    -6%
  • ExxonMobil HoldingsXOM
    0.1% of the fund
    -11%
  • Morgan StanleyMS
    0.1% of the fund
    -4%

Sold out

Sold their entire stake.

Holdings

  • Vanguard Index FDSVOO
    Share
    15.4%
    Value
    $391m
    Shares
    568,773

    Held

  • Vanguard Tax-Managed FDSVEA
    Share
    7.8%
    Value
    $198m
    Shares
    2,774,023

    Held

  • Dimensional ETF TrustDFCF
    Share
    6.8%
    Value
    $172m
    Shares
    4,065,684

    +17%

  • Vanguard Scottsdale FDSVGIT
    Share
    6.4%
    Value
    $163m
    Shares
    2,756,549

    +28%

  • Ishares TRIJR
    Share
    5.8%
    Value
    $146m
    Shares
    984,802

    Held

  • Ishares TRIJH
    Share
    5.3%
    Value
    $133m
    Shares
    1,727,863

    Held

  • Ishares TRIGIB
    Share
    4.7%
    Value
    $120m
    Shares
    2,247,726

    +7%

  • J P Morgan Exchange Traded FJMTG
    Share
    4.2%
    Value
    $105m
    Shares
    2,081,437

    +21%

  • Ishares TRSMLF
    Share
    3.5%
    Value
    $88m
    Shares
    982,634

    Held

  • Vanguard Intl Equity Index FVWO
    Share
    2.4%
    Value
    $61m
    Shares
    1,015,754

    Held

  • Vanguard Index FDSVV
    Share
    2.2%
    Value
    $57m
    Shares
    165,136

    -2%

  • Ishares TRMTUM
    Share
    1.9%
    Value
    $47m
    Shares
    137,797

    -3%

  • Vanguard BD Index FDSBND
    Share
    1.8%
    Value
    $47m
    Shares
    636,090

    -19%

  • Ishares TRIEFA
    Share
    1.6%
    Value
    $41m
    Shares
    429,200

    -5%

  • Dimensional ETF TrustDFLV
    Share
    1.4%
    Value
    $36m
    Shares
    918,156

    Held

  • Ishares TRIMTM
    Share
    1.3%
    Value
    $34m
    Shares
    640,207

    Held

  • Dimensional ETF TrustDFIV
    Share
    1.1%
    Value
    $28m
    Shares
    509,898

    Held

  • Ishares TRLRGF
    Share
    1.1%
    Value
    $27m
    Shares
    358,709

    Held

  • AppleAAPL
    Share
    1.0%
    Value
    $25m
    Shares
    86,574

    -3%

  • Vanguard Malvern FDSVCRB
    Share
    0.9%
    Value
    $23m
    Shares
    298,167

    +3%

  • Vanguard Scottsdale FDSVGSH
    Share
    0.9%
    Value
    $22m
    Shares
    373,265

    -35%

  • American Centy ETF TRAVUS
    Share
    0.8%
    Value
    $22m
    Shares
    167,951

    Held

  • Ishares TRIVW
    Share
    0.8%
    Value
    $20m
    Shares
    148,868

    -3%

  • Vanguard Scottsdale FDSVMBS
    Share
    0.8%
    Value
    $20m
    Shares
    431,704

    -19%

  • Ishares TRIVV
    Share
    0.8%
    Value
    $20m
    Shares
    26,803

    -3%

  • Vanguard Index FDSVB
    Share
    0.8%
    Value
    $20m
    Shares
    64,981

    -3%

  • Ishares TRINTF
    Share
    0.6%
    Value
    $15m
    Shares
    358,978

    Held

  • Vanguard Index FDSVO
    Share
    0.6%
    Value
    $15m
    Shares
    182,231

    Held

  • MicrosoftMSFT
    Share
    0.6%
    Value
    $14m
    Shares
    38,008

    -8%

  • IsharesIEMG
    Share
    0.5%
    Value
    $13m
    Shares
    154,982

    +2%

  • Ishares TRIVE
    Share
    0.5%
    Value
    $12m
    Shares
    52,178

    -3%

  • WalmartWMT
    Share
    0.5%
    Value
    $11m
    Shares
    101,087

    Held

  • AlphabetGOOGL
    Share
    0.5%
    Value
    $11m
    Shares
    31,998

    Held

  • Vanguard Index FDSVUG
    Share
    0.4%
    Value
    $11m
    Shares
    122,866

    Held

  • NvidiaNVDA
    Share
    0.4%
    Value
    $10m
    Shares
    49,115

    -10%

  • Procter & GamblePG
    Share
    0.4%
    Value
    $10m
    Shares
    65,959

    Held

  • Ishares TRMUB
    Share
    0.3%
    Value
    $8m
    Shares
    74,238

    Held

  • Amazon.comAMZN
    Share
    0.3%
    Value
    $7m
    Shares
    30,455

    +4%

  • Berkshire HathawayBRK-B
    Share
    0.3%
    Value
    $7m
    Shares
    13,839

    Held

  • State STR Spdr S&P 500 ETF TSPY
    Share
    0.3%
    Value
    $7m
    Shares
    8,939

    Held

  • JPMorgan ChaseJPM
    Share
    0.3%
    Value
    $7m
    Shares
    20,265

    Held

  • Vanguard Scottsdale FDSVCIT
    Share
    0.3%
    Value
    $7m
    Shares
    78,750

    +5%

  • Ishares TRIEF
    Share
    0.3%
    Value
    $6m
    Shares
    68,522

    -8%

  • Schwab Strategic TRSCHF
    Share
    0.3%
    Value
    $6m
    Shares
    230,172

    Held

  • Vanguard Index FDSVTV
    Share
    0.2%
    Value
    $6m
    Shares
    27,860

    +9%

  • Ishares TRIWR
    Share
    0.2%
    Value
    $6m
    Shares
    52,811

    -3%

  • Ishares TRIWM
    Share
    0.2%
    Value
    $5m
    Shares
    17,963

    -5%

  • Ishares TRIEI
    Share
    0.2%
    Value
    $5m
    Shares
    43,597

    +34%

  • Johnson & JohnsonJNJ
    Share
    0.2%
    Value
    $5m
    Shares
    20,115

    Held

  • Select Sector Spdr TRXLK
    Share
    0.2%
    Value
    $5m
    Shares
    26,366

    -7%

  • Sensient TechnologiesSXT
    Share
    0.2%
    Value
    $5m
    Shares
    39,741

    +21%

  • Ishares TRIYW
    Share
    0.2%
    Value
    $5m
    Shares
    19,300

    -2%

  • VisaV
    Share
    0.2%
    Value
    $5m
    Shares
    13,756

    -5%

  • Vanguard Index FDSVBK
    Share
    0.2%
    Value
    $5m
    Shares
    12,828

    +3%

  • Vanguard Index FDSVTI
    Share
    0.2%
    Value
    $5m
    Shares
    12,523

    -2%

  • Ishares TRIWD
    Share
    0.2%
    Value
    $5m
    Shares
    18,811

    Held

  • Micron TechnologyMU
    Share
    0.2%
    Value
    $5m
    Shares
    3,924

    -22%

  • UnitedHealth GroupUNH
    Share
    0.2%
    Value
    $4m
    Shares
    10,706

    -4%

  • Ishares TREFA
    Share
    0.2%
    Value
    $4m
    Shares
    38,331

    -6%

  • ExxonMobil HoldingsXOM
    Share
    0.1%
    Value
    $4m
    Shares
    27,189

    -11%

  • Morgan StanleyMS
    Share
    0.1%
    Value
    $4m
    Shares
    17,770

    -4%

  • American Centy ETF TRAVSC
    Share
    0.1%
    Value
    $4m
    Shares
    49,245

    +8%

  • Travelers CompaniesTRV
    Share
    0.1%
    Value
    $4m
    Shares
    10,773

    -7%

  • Vanguard Index FDSVBR
    Share
    0.1%
    Value
    $3m
    Shares
    14,278

    +5%

  • Ishares TRIWB
    Share
    0.1%
    Value
    $3m
    Shares
    7,558

    Held

  • Vanguard BD Index FDSBSV
    Share
    0.1%
    Value
    $3m
    Shares
    36,330

    Held

  • CaterpillarCAT
    Share
    0.1%
    Value
    $3m
    Shares
    2,639

    Held

  • Ishares TRSCZ
    Share
    0.1%
    Value
    $3m
    Shares
    33,125

    -8%

  • ChevronCVX
    Share
    0.1%
    Value
    $3m
    Shares
    16,397

    -5%

  • United RentalsURI
    Share
    0.1%
    Value
    $3m
    Shares
    2,314

    -2%

  • Applied MaterialsAMAT
    Share
    <0.1%
    Value
    $3m
    Shares
    3,479

    -7%

  • Ishares TRIWF
    Share
    <0.1%
    Value
    $3m
    Shares
    20,196

    Held

  • DeereDE
    Share
    <0.1%
    Value
    $2m
    Shares
    3,844

    Held

  • Eli LillyLLY
    Share
    <0.1%
    Value
    $2m
    Shares
    2,014

    +3%

  • Lockheed MartinLMT
    Share
    <0.1%
    Value
    $2m
    Shares
    4,676

    Held

  • Invesco QQQ TRQQQ
    Share
    <0.1%
    Value
    $2m
    Shares
    3,223

    -25%

  • Snap-onSNA
    Share
    <0.1%
    Value
    $2m
    Shares
    5,750

    -5%

  • Taiwan Semiconductor ManufacturingTSM
    Share
    <0.1%
    Value
    $2m
    Shares
    4,700

    -3%

  • Ishares TRESGU
    Share
    <0.1%
    Value
    $2m
    Shares
    13,510

    Held

  • Enterprise Financial ServicesEFSC
    Share
    <0.1%
    Value
    $2m
    Shares
    31,105

    Held

  • AlphabetGOOG
    Share
    <0.1%
    Value
    $2m
    Shares
    5,744

    +9%

  • American ExpressAXP
    Share
    <0.1%
    Value
    $2m
    Shares
    5,522

    Held

  • Select Sector Spdr TRXLE
    Share
    <0.1%
    Value
    $2m
    Shares
    34,944

    +10%

  • First TR Exchange-Traded FDGRID
    Share
    <0.1%
    Value
    $2m
    Shares
    9,587

    +4%

  • Global X FDSAIQ
    Share
    <0.1%
    Value
    $2m
    Shares
    27,676

    +10%

  • Ishares TRESGD
    Share
    <0.1%
    Value
    $2m
    Shares
    17,563

    Held

  • J P Morgan Exchange Traded FJBND
    Share
    <0.1%
    Value
    $2m
    Shares
    33,600

    New

  • Janus Detroit STR TRJMBS
    Share
    <0.1%
    Value
    $2m
    Shares
    39,679

    Held

  • AbbVieABBV
    Share
    <0.1%
    Value
    $2m
    Shares
    7,039

    Held

  • MerckMRK
    Share
    <0.1%
    Value
    $2m
    Shares
    13,768

    -6%

  • EntergyETR
    Share
    <0.1%
    Value
    $2m
    Shares
    15,380

    -4%

  • CumminsCMI
    Share
    <0.1%
    Value
    $2m
    Shares
    2,440

    -3%

  • Costco WholesaleCOST
    Share
    <0.1%
    Value
    $2m
    Shares
    1,826

    Held

  • TeslaTSLA
    Share
    <0.1%
    Value
    $2m
    Shares
    4,044

    Held

  • Home DepotHD
    Share
    <0.1%
    Value
    $2m
    Shares
    4,790

    Held

  • KrogerKR
    Share
    <0.1%
    Value
    $2m
    Shares
    30,073

    -11%

  • HCA HealthcareHCA
    Share
    <0.1%
    Value
    $2m
    Shares
    4,176

    -9%

  • American Centy ETF TRAVLV
    Share
    <0.1%
    Value
    $2m
    Shares
    17,545

    Held

  • O'Reilly AutomotiveORLY
    Share
    <0.1%
    Value
    $2m
    Shares
    17,371

    -19%

  • RTXRTX
    Share
    <0.1%
    Value
    $2m
    Shares
    8,412

    Held

Showing the largest 100 of 384.

Over time and by industry

Value over time

Jun '25
 
Dec '25
 
Jun '26

Value is up 39.3% since 30 June 2025.

Where the money is

Technology3.0%
Financial services1.5%
Industrials1.5%
Everyday goods1.1%
Health care0.9%
Retail & consumer0.8%
Media & telecom0.8%
Energy0.4%
Materials0.3%
Utilities0.2%
Real estate0.0%
Other89.6%

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.