ETF Stats

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Top 100 equity holdings by the US listed ETFs

Security Name Total Market Value
NVIDIA CORP $603.0B
APPLE INC $563.8B
ALPHABET INC (A+C) $424.0B
MICROSOFT CORP $418.1B
AMAZON.COM INC $281.0B
BROADCOM INC $279.9B
JPMORGAN CHASE & CO $220.8B
METACON AB $192.2B
TESLA INC $160.1B
ELI LILLY & CO $115.5B
BERKSHIRE HATHAWAY INC-CL B $111.2B
EXXON MOBIL CORP $103.9B
JOHNSON & JOHNSON $99.9B
WALMART INC $97.2B
MICRON TECHNOLOGY INC $94.7B
MORGAN STANLEY $80.3B
ABBVIE INC $79.8B
HOME DEPOT INC $78.9B
TAIWAN SEMICONDUCTOR MANUFAC $77.5B
VISA INC-CLASS A SHARES $75.7B
COSTCO WHOLESALE CORP $73.6B
UNITEDHEALTH GROUP INC $71.4B
Cash in COP $68.7B
CATERPILLAR INC $68.3B
NETFLIX INC $65.0B
AMGEN INC $64.9B
BANK OF AMERICA CORP $64.4B
CHEVRON CORP $61.6B
CISCO SYSTEMS INC $60.5B
MASTERCARD INC - A $59.0B
LAM RESEARCH CORP $58.2B
ADVANCED MICRO DEVICES $57.1B
PALANTIR TECHNOLOGIES INC-A $56.4B
APPLIED MATERIALS INC $56.4B
PROCTER & GAMBLE CO/THE $53.4B
KLA CORP $53.3B
PPB GROUP BERHAD $50.5B
CITIGROUP INC $50.2B
GENERAL ELECTRIC CO $50.0B
GOLDMAN SACHS GROUP INC $47.9B
THERMO FISHER SCIENTIFIC INC $47.0B
MERCK & CO. INC. $45.9B
RTX CORP $43.7B
COCA-COLA CO/THE $43.3B
VERIZON COMMUNICATIONS INC $41.3B
TEXAS INSTRUMENTS INC $38.8B
LINDE PLC $38.2B
GE VERNOVA INC $38.2B
ORACLE CORP $37.9B
ABBOTT LABORATORIES $37.0B
SAMSUNG ELECTRONICS CO LTD $36.5B
PHILIP MORRIS INTERNATIONAL $36.4B
BLACKROCK INC $36.1B
INTL BUSINESS MACHINES CORP $35.8B
INTEL CORP $35.4B
GILEAD SCIENCES INC $35.2B
ANALOG DEVICES INC $35.0B
MCDONALD'S CORP $34.5B
WELLS FARGO & CO $34.0B
HONEYWELL INTERNATIONAL INC $33.9B
TELUS CORP $32.2B
NEXTERA ENERGY INC $31.2B
INTUITIVE SURGICAL INC $29.2B
WELLTOWER INC $28.9B
ASML HOLDING NV $28.5B
SALESFORCE INC $28.5B
LOCKHEED MARTIN CORP $28.5B
QUALCOMM INC $28.4B
BOEING CO/THE $27.4B
AMPHENOL CORP-CL A $26.4B
TJX COMPANIES INC $26.1B
DEERE & CO $25.9B
SK HYNIX INC $23.9B
NEWMONT CORP $23.8B
WALT DISNEY CO/THE $23.3B
PFIZER INC $23.1B
TENCENT HOLDINGS LTD $22.9B
BOOKING HOLDINGS INC $22.8B
AMERICAN EXPRESS CO $22.4B
PROLOGIS INC $22.3B
ADOBE INC $22.3B
UBER TECHNOLOGIES INC $22.1B
UNION PACIFIC CORP $21.7B
PALO ALTO NETWORKS INC $21.5B
INTUIT INC $21.4B
APPLOVIN CORP-CLASS A $21.3B
HOWMET AEROSPACE INC $21.3B
VERTEX PHARMACEUTICALS INC $21.1B
CORNING INC $20.9B
ACCENTURE PLC-CL A $20.8B
EATON CORP PLC $20.7B
ARISTA NETWORKS INC $20.6B
WESTERN DIGITAL CORP $20.6B
CONSTELLATION ENERGY $20.6B
SCHWAB (CHARLES) CORP $20.2B
T-MOBILE US INC $19.9B
COMCAST CORP-CLASS A $19.2B
ROCHE HOLDING AG-GENUSSCHEIN $16.8B
ALIBABA GROUP HOLDING LTD $16.8B
NOVARTIS AG-REG $16.7B