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Performance as of Oct. 2, 2026

03
PeriodPrice returnTotal return
1M▼ -2.77%▼ -2.39%
3M··
6M··
YTD··
1Y··
3Y··
5Y··
Maxsince Aug. 18, 2026▼ -3.24%▼ -2.49%
Volatility 1Y·
Volatility 3Y·
Max drawdown 3Y ·
Beta 3Y·
Sharpe 1Y*·

Total return assumes dividends are reinvested. Returns are not benchmarked against an index. * Sharpe ratio is computed with a 0% risk-free rate.

Fund flows (SEC-reported)

04
Last month (Jul 2026) -$308.8M
Quarter ending Jul 2026 -$278.1M
Trailing 12 months -$374.8M Aug 2025 – Jul 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Full composition 3,530 holdings

05
IssuerTickerWeight %Market valueSharesCUSIPUnits/shareTypeCurrency
WELLS FARGO & COMPANY 0.07 ≈$885K 844,000 95000U3G6 0.03259 BOND USD
WELLS FARGO & COMPANY FX-FRN MTN 0.07 ≈$885K 1,101,000 95000U2Z5 0.04251 BOND USD
CITIBANK NA 0.07 ≈$876K 870,000 17325FBP2 0.03359 BOND USD
LLOYDS BANKING GROUP PLC (FXD-FXD) 0.07 ≈$876K 861,000 53944YBC6 0.03324 BOND USD
META PLATFORMS INC 0.07 ≈$874K 1,082,000 30303M8V7 0.04178 BOND USD
PFIZER INVESTMENT ENTERPRISES PTE 0.07 ≈$873K 955,000 716973AF9 0.03687 BOND USD
AMAZON.COM INC 0.07 ≈$872K 900,000 023135EF9 0.03475 BOND USD
HSBC HOLDINGS PLC 0.07 ≈$871K 975,000 404280CT4 0.03764 BOND USD
JPMORGAN CHASE & CO 0.07 ≈$870K 885,000 46647PFC5 0.03417 BOND USD
GOLDMAN SACHS GROUP INC/THE 0.07 ≈$866K 882,000 38141GC44 0.03405 BOND USD
AMAZON.COM INC 0.07 ≈$864K 888,000 023135CT1 0.03429 BOND USD
BANK OF AMERICA CORP MTN 0.07 ≈$859K 865,000 06051GMD8 0.0334 BOND USD
WELLS FARGO & COMPANY MTN 0.07 ≈$846K 923,000 95000U2J1 0.03564 BOND USD
COMCAST CORPORATION 0.07 ≈$845K 1,584,000 20030NDS7 0.06116 BOND USD
GOLDMAN SACHS GROUP INC/THE 0.07 ≈$845K 819,000 38141GA87 0.03162 BOND USD
MORGAN STANLEY MTN 0.07 ≈$845K 895,000 61748UAT9 0.03456 BOND USD
BANK OF AMERICA CORP MTN 0.07 ≈$844K 955,000 06051GKK4 0.03687 BOND USD
SALESFORCE INC 0.07 ≈$844K 843,000 79466LAT1 0.03255 BOND USD
WELLS FARGO & COMPANY MTN 0.07 ≈$844K 855,000 95000U2D4 0.03301 BOND USD
ABBOTT LABORATORIES 0.07 ≈$842K 864,000 002824BS8 0.03336 BOND USD
UNITEDHEALTH GROUP INC 0.07 ≈$842K 915,000 91324PFL1 0.03533 BOND USD
HSBC HOLDINGS PLC FXD-TO-FLT 0.07 ≈$841K 830,000 404280EN5 0.03205 BOND USD
NVIDIA CORPORATION 0.07 ≈$840K 931,000 67066GAV6 0.03595 BOND USD
AMAZON.COM INC 0.07 ≈$836K 979,000 023135BF2 0.0378 BOND USD
ALPHABET INC 0.07 ≈$834K 880,000 02079KBL0 0.03398 BOND USD
VMWARE LLC 0.07 ≈$834K 840,000 928563AF2 0.03243 BOND USD
BANK OF AMERICA CORP 0.07 ≈$833K 960,000 06051GKA6 0.03707 BOND USD
BRISTOL-MYERS SQUIBB CO 0.07 ≈$832K 840,000 110122EH7 0.03243 BOND USD
MORGAN STANLEY MTN 0.07 ≈$829K 832,000 61747YFE0 0.03212 BOND USD
JPMORGAN CHASE & CO 0.07 ≈$827K 880,000 46647PBE5 0.03398 BOND USD
CITIGROUP INC 0.07 ≈$826K 830,000 172967PL9 0.03205 BOND USD
AMAZON.COM INC 0.07 ≈$825K 939,000 023135BZ8 0.03625 BOND USD
CISCO SYSTEMS INC 0.07 ≈$825K 823,000 17275RBR2 0.03178 BOND USD
ALPHABET INC 0.07 ≈$823K 830,000 02079KCV7 0.03205 BOND USD
MIDAMERICAN ENERGY COMPANY 0.07 ≈$823K 838,000 595620AT2 0.03236 BOND USD
WALMART INC 0.07 ≈$821K 943,000 931142ET6 0.03641 BOND USD
BANK OF AMERICA CORP (FXD-FRN) MTN 0.07 ≈$820K 830,000 06051GNA3 0.03205 BOND USD
BANK OF AMERICA CORP MTN 0.07 ≈$819K 845,000 06051GKQ1 0.03263 BOND USD
ALPHABET INC 0.07 ≈$817K 820,000 02079KCT2 0.03166 BOND USD
BRISTOL-MYERS SQUIBB CO 0.07 ≈$817K 890,000 110122EK0 0.03436 BOND USD
ABBVIE INC 0.07 ≈$816K 950,000 00287YAS8 0.03668 BOND USD
GOLDMAN SACHS GROUP INC (FXD-FRN) 0.07 ≈$816K 819,000 38141GD27 0.03162 BOND USD
ALPHABET INC 0.07 ≈$814K 835,000 02079KAW7 0.03224 BOND USD
CITIBANK NA 0.07 ≈$814K 797,000 17325FBG2 0.03077 BOND USD
BANK OF AMERICA CORP MTN 0.07 ≈$813K 855,000 060505GR9 0.03301 BOND USD
INTERCONTINENTAL EXCHANGE INC 0.07 ≈$813K 801,000 45866FAU8 0.03093 BOND USD
BANK OF AMERICA CORP MTN 0.07 ≈$810K 1,170,000 06051GJE0 0.04517 BOND USD
TRUIST FINANCIAL CORP MTN 0.07 ≈$810K 810,000 89788MAS1 0.03127 BOND USD
GOLDMAN SACHS GROUP INC/THE 0.07 ≈$809K 881,000 38141GC51 0.03402 BOND USD
PNC FINANCIAL SERVICES GROUP INC ( 0.07 ≈$809K 739,000 693475BU8 0.02853 BOND USD

Market value is estimated from each holding's weight and the fund's net assets. Weight and shares are as reported by the fund.

Sector breakdown

06
Other/Unmapped 100.0%

Daily changes (30d)

07
DateTypeTickerChange
Sept. 10, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.2892 → 0.2965 (2.5%)
Sept. 10, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -0.1701 → -0.1722 (1.2%)
Sept. 9, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.1759 → -0.1701 (-3.3%)
Sept. 8, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.1131 → 0.2892 (155.6%)
Sept. 8, 2026 Exited 20030NES6 Position exited — was 0.02181 units/share
Sept. 8, 2026 New — COMCAST CORPORATION 20030NET4 New position — 0.02181 units/share
Sept. 8, 2026 New — COMMONWEALTH BANK OF AUSTRALIA (NE MTN 20271RAY6 New position — 0.009653 units/share
Sept. 8, 2026 New — JOHN DEERE CAPITAL CORP MTN 24422EYU7 New position — 0.005019 units/share
Sept. 8, 2026 New — DUKE ENERGY PROGRESS LLC 26442UAW4 New position — 0.004633 units/share
Sept. 8, 2026 New — GLAXOSMITHKLINE CAPITAL INC 377372AS6 New position — 0.01255 units/share
Sept. 8, 2026 New — GLAXOSMITHKLINE CAPITAL INC 377372AT4 New position — 0.01718 units/share
Sept. 8, 2026 New — GLAXOSMITHKLINE CAPITAL INC 377372AU1 New position — 0.01718 units/share
Sept. 8, 2026 New — GLAXOSMITHKLINE CAPITAL INC 377372AV9 New position — 0.01718 units/share
Sept. 8, 2026 New — GLAXOSMITHKLINE CAPITAL INC 377372AW7 New position — 0.006178 units/share
Sept. 8, 2026 New — MITSUBISHI UFJ FINANCIAL GROUP FXD 606822EF7 New position — 0.01293 units/share
Sept. 8, 2026 New — MITSUBISHI UFJ FINANCIAL GROUP INC 606822EH3 New position — 0.007722 units/share
Sept. 8, 2026 New — MITSUBISHI UFJ FINANCIAL GROUP INC 606822EJ9 New position — 0.01486 units/share
Sept. 8, 2026 New — MITSUBISHI UFJ FINANCIAL GROUP INC 606822EK6 New position — 0.01293 units/share
Sept. 8, 2026 New — ONCOR ELECTRIC DELIVERY COMPANY LL 144A 68233JDQ4 New position — 0.006564 units/share
Sept. 8, 2026 New — ONCOR ELECTRIC DELIVERY COMPANY LL 144A 68233JDS0 New position — 0.005405 units/share
Sept. 8, 2026 New — PARKER HANNIFIN CORPORATION 701094AT1 New position — 0.003668 units/share
Sept. 8, 2026 New — PARKER HANNIFIN CORPORATION 701094AU8 New position — 0.003282 units/share
Sept. 8, 2026 New — PARKER HANNIFIN CORPORATION 701094AV6 New position — 0.006564 units/share
Sept. 8, 2026 New — PARKER HANNIFIN CORPORATION 701094AW4 New position — 0.007529 units/share
Sept. 8, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.1583 → -0.1759 (-211.2%)
Sept. 4, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.5042 → 0.1131 (-77.6%)
Sept. 4, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.236 → 0.1583 (-167.1%)
Sept. 3, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.5023 → 0.5042 (0.4%)
Sept. 3, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.2413 → -0.236 (-2.2%)
Sept. 2, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.205 → 0.5023 (145.0%)
Sept. 2, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.05395 → -0.2413 (-547.4%)
Sept. 1, 2026 New — BANK OF MONTREAL (FXD-FRN) MTN 06368MY99 New position — 0.01216 units/share
Sept. 1, 2026 New — MANULIFE FINANCIAL CORP 56501RAY2 New position — 0.006178 units/share
Sept. 1, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.2234 → 0.05395 (-75.8%)
Aug. 31, 2026 Trimmed — ABBOTT LABORATORIES 002824BW9 Units/share: 0.04846 → 0.0388 (-19.9%)
Aug. 31, 2026 Increased — ALPHABET INC 02079KAE7 Units/share: 0.01293 → 0.03224 (149.3%)
Aug. 31, 2026 Increased — ALPHABET INC 02079KAG2 Units/share: 0.01757 → 0.03687 (109.9%)
Aug. 31, 2026 Increased — ALPHABET INC 02079KAY3 Units/share: 0.03475 → 0.0444 (27.8%)
Aug. 31, 2026 Increased — ALPHABET INC 02079KBP1 Units/share: 0.04286 → 0.05251 (22.5%)
Aug. 31, 2026 Increased — ALPHABET INC 02079KCS4 Units/share: 0.02606 → 0.05502 (111.1%)
Aug. 31, 2026 Trimmed — AMAZON.COM INC 023135BM7 Units/share: 0.03097 → 0.02131 (-31.2%)
Aug. 31, 2026 Trimmed — AMAZON.COM INC 023135CR5 Units/share: 0.03822 → 0.02857 (-25.3%)
Aug. 31, 2026 Trimmed — ANHEUSER-BUSCH COMPANIES LLC 03522AAJ9 Units/share: 0.1164 → 0.1068 (-8.3%)
Aug. 31, 2026 Increased — APPLE INC 037833DW7 Units/share: 0.02143 → 0.03108 (45.0%)
Aug. 31, 2026 Trimmed — ASTRAZENECA PLC 046353AD0 Units/share: 0.03653 → 0.02687 (-26.4%)
Aug. 31, 2026 Trimmed — BANK OF MONTREAL MTN 06368LAQ9 Units/share: 0.01139 → 0.001737 (-84.7%)
Aug. 31, 2026 Trimmed — BANK OF MONTREAL MTN 06368LGV2 Units/share: 0.02934 → 0.01004 (-65.8%)
Aug. 31, 2026 Trimmed — BRISTOL-MYERS SQUIBB CO 110122CR7 Units/share: 0.04718 → 0.03753 (-20.5%)
Aug. 31, 2026 Trimmed — BROADCOM INC 11135FBM2 Units/share: 0.129 → 0.1193 (-7.5%)
Aug. 31, 2026 Trimmed — BROADCOM INC 11135FCL3 Units/share: 0.1098 → 0.09054 (-17.6%)
Aug. 31, 2026 Trimmed — BURLINGTON NORTHERN SANTA FE LLC 12189LAW1 Units/share: 0.01548 → 0.007761 (-49.9%)
Aug. 31, 2026 Trimmed — BURLINGTON NORTHERN SANTA FE LLC 12189LBJ9 Units/share: 0.01525 → 0.007529 (-50.6%)
Aug. 31, 2026 Trimmed — BURLINGTON NORTHERN SANTA FE LLC 12189LBN0 Units/share: 0.01328 → 0.009421 (-29.1%)
Aug. 31, 2026 Trimmed — CSX CORP 126408HG1 Units/share: 0.01004 → 0.006178 (-38.5%)
Aug. 31, 2026 Trimmed — CALIFORNIA INST OF TECHNOLOGY 13034VAD6 Units/share: 0.01062 → 0.005792 (-45.5%)
Aug. 31, 2026 Trimmed — COMCAST CORPORATION 20030NCJ8 Units/share: 0.0232 → 0.01355 (-41.6%)
Aug. 31, 2026 Trimmed — WALT DISNEY CO 254687FY7 Units/share: 0.03062 → 0.02097 (-31.5%)
Aug. 31, 2026 Trimmed — GLAXOSMITHKLINE CAPITAL INC 377372AE7 Units/share: 0.03815 → 0.02849 (-25.3%)
Aug. 31, 2026 Trimmed — HESS CORP 42809HAD9 Units/share: 0.02571 → 0.01606 (-37.5%)
Aug. 31, 2026 Trimmed — JPMORGAN CHASE & CO 46625HNJ5 Units/share: 0.01139 → 0.001737 (-84.7%)
Aug. 31, 2026 Exited 476556DL6 Position exited — was 0.009073 units/share
Aug. 31, 2026 Trimmed — JOHNSON & JOHNSON 478160CK8 Units/share: 0.01768 → 0.008031 (-54.6%)
Aug. 31, 2026 Trimmed — JOHNSON & JOHNSON 478160CP7 Units/share: 0.01768 → 0.008031 (-54.6%)
Aug. 31, 2026 Trimmed — KIMBERLY-CLARK CORPORATION 494368CC5 Units/share: 0.01042 → 0.002703 (-74.1%)
Aug. 31, 2026 Trimmed — LLOYDS BANKING GROUP PLC 539439AQ2 Units/share: 0.03741 → 0.01811 (-51.6%)
Aug. 31, 2026 Trimmed — MASSACHUSETTS INSTITUTE OF TECHNOL 575718AB7 Units/share: 0.01525 → 0.005598 (-63.3%)
Aug. 31, 2026 Trimmed — MERCK & CO INC 58933YBP9 Units/share: 0.008687 → 0.002896 (-66.7%)
Aug. 31, 2026 Trimmed — MORGAN STANLEY (FXD-FRN) MTN 61748UAS1 Units/share: 0.03552 → 0.02587 (-27.2%)
Aug. 31, 2026 New — NATIONAL BANK OF CANADA (FXD) MTN 63307A3T0 New position — 0.01236 units/share
Aug. 31, 2026 Increased — NVIDIA CORPORATION 67066GAG9 Units/share: 0.009691 → 0.01934 (99.6%)
Aug. 31, 2026 Increased — NVIDIA CORPORATION 67066GAH7 Units/share: 0.01726 → 0.03656 (111.9%)
Aug. 31, 2026 Trimmed — PEPSICO INC 713448DY1 Units/share: 0.01795 → 0.008301 (-53.8%)
Aug. 31, 2026 Trimmed — PHILIP MORRIS INTERNATIONAL INC 718172AC3 Units/share: 0.02201 → 0.01236 (-43.9%)
Aug. 31, 2026 Exited 75524KPG3 Position exited — was 0.005405 units/share
Aug. 31, 2026 Trimmed — RIO TINTO FINANCE (USA) LTD 767201AL0 Units/share: 0.02093 → 0.01127 (-46.1%)
Aug. 31, 2026 Increased — CHARLES SCHWAB CORPORATION (THE) 808513BT1 Units/share: 0.00888 → 0.01853 (108.7%)
Aug. 31, 2026 Trimmed — SHELL FINANCE US INC 822905AU9 Units/share: 0.03494 → 0.02529 (-27.6%)
Aug. 31, 2026 Exited 85325X2B1 Position exited — was 0.0009653 units/share
Aug. 31, 2026 Trimmed — TOTALENERGIES CAPITAL INTERNATIONA 89153VAT6 Units/share: 0.02761 → 0.01795 (-35.0%)
Aug. 31, 2026 Trimmed — TOTALENERGIES CAPITAL SA 89157XAD3 Units/share: 0.01958 → 0.009923 (-49.3%)
Aug. 31, 2026 Trimmed — UNITEDHEALTH GROUP INC 91324PDE9 Units/share: 0.01722 → 0.007568 (-56.1%)
Aug. 31, 2026 Trimmed — UNITEDHEALTH GROUP INC 91324PDK5 Units/share: 0.01328 → 0.00556 (-58.1%)
Aug. 31, 2026 Trimmed — UNITEDHEALTH GROUP INC 91324PEP3 Units/share: 0.02124 → 0.01158 (-45.5%)
Aug. 31, 2026 Trimmed — WESTPAC BANKING CORP 961214DW0 Units/share: 0.01931 → 0.009653 (-50.0%)
Aug. 31, 2026 Trimmed — WESTPAC BANKING CORP 961214FK4 Units/share: 0.02375 → 0.00444 (-81.3%)
Aug. 31, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.03557 → 0.2234 (-728.1%)
Aug. 28, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.2023 → 0.205 (1.3%)
Aug. 28, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -0.03438 → -0.03557 (3.4%)
Aug. 27, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.1961 → 0.2023 (3.1%)
Aug. 27, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -0.02904 → -0.03438 (18.4%)
Aug. 26, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.2104 → 0.1961 (-6.8%)
Aug. 26, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.0488 → -0.02904 (-40.5%)
Aug. 25, 2026 New — BANCO BILBAO VIZCAYA ARGENT (FXD) 05946KAY7 New position — 0.01544 units/share
Aug. 25, 2026 New — BANCO BILBAO VIZCAYA ARGENTARIA SA 05946KAZ4 New position — 0.01544 units/share
Aug. 25, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.2127 → 0.2104 (-1.1%)
Aug. 25, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -0.02102 → -0.0488 (132.1%)
Aug. 24, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.03321 → -0.02102 (-36.7%)
Aug. 21, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 0.256 → 0.2127 (-16.9%)
Aug. 21, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.07806 → -0.03321 (-57.5%)
Aug. 20, 2026 Increased — ABB FINANCE USA INC 00037BAC6 Units/share: 0.007634 → 0.007722 (1.2%)
Aug. 20, 2026 Increased — AFLAC INCORPORATED 001055AY8 Units/share: 0.00584 → 0.005907 (1.2%)
Aug. 20, 2026 Increased — AFLAC INCORPORATED 001055BJ0 Units/share: 0.01542 → 0.0156 (1.2%)
Aug. 20, 2026 Increased — AFLAC INCORPORATED 001055CH3 Units/share: 0.006489 → 0.006564 (1.2%)
Aug. 20, 2026 Increased — AEP TRANSMISSION COMPANY LLC 00115AAH2 Units/share: 0.007634 → 0.007722 (1.2%)
Aug. 20, 2026 Increased — AEP TRANSMISSION COMPANY LLC 00115AAM1 Units/share: 0.006298 → 0.006371 (1.2%)
Aug. 20, 2026 Increased — AEP TRANSMISSION COMPANY LLC 00115AAP4 Units/share: 0.005763 → 0.00583 (1.2%)
Aug. 20, 2026 Increased — AEP TRANSMISSION COMPANY LLC 00115AAQ2 Units/share: 0.009733 → 0.009846 (1.2%)
Aug. 20, 2026 Increased — AEP TRANSMISSION COMPANY LLC 00115AAT6 Units/share: 0.004198 → 0.004247 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002819AC4 Units/share: 0.007061 → 0.007143 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824AV2 Units/share: 0.007061 → 0.007143 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824AY6 Units/share: 0.01019 → 0.01031 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BG4 Units/share: 0.02279 → 0.02305 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BH2 Units/share: 0.03973 → 0.04019 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BN9 Units/share: 0.006985 → 0.007066 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BP4 Units/share: 0.005687 → 0.005753 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BQ2 Units/share: 0.009466 → 0.009575 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BR0 Units/share: 0.02996 → 0.03031 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BS8 Units/share: 0.03298 → 0.03336 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BT6 Units/share: 0.03855 → 0.039 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BU3 Units/share: 0.0445 → 0.04502 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BV1 Units/share: 0.02634 → 0.02664 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BW9 Units/share: 0.0479 → 0.04846 (1.2%)
Aug. 20, 2026 Increased — ABBOTT LABORATORIES 002824BX7 Units/share: 0.02538 → 0.02568 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YAM1 Units/share: 0.02901 → 0.02934 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YAR0 Units/share: 0.03153 → 0.03189 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YAS8 Units/share: 0.03626 → 0.03668 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YAV1 Units/share: 0.01355 → 0.01371 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YAW9 Units/share: 0.02672 → 0.02703 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YBD0 Units/share: 0.02252 → 0.02278 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YBF5 Units/share: 0.01851 → 0.01873 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YBX6 Units/share: 0.06752 → 0.0683 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YCA5 Units/share: 0.04569 → 0.04622 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YCB3 Units/share: 0.07347 → 0.07432 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YCY3 Units/share: 0.02176 → 0.02201 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDA4 Units/share: 0.01336 → 0.01351 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDB2 Units/share: 0.01317 → 0.01332 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDS5 Units/share: 0.02557 → 0.02587 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDT3 Units/share: 0.02786 → 0.02819 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDU0 Units/share: 0.03874 → 0.03919 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDV8 Units/share: 0.01183 → 0.01197 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDW6 Units/share: 0.03817 → 0.03861 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDX4 Units/share: 0.02099 → 0.02124 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDY2 Units/share: 0.01126 → 0.01139 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YDZ9 Units/share: 0.01427 → 0.01444 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEA3 Units/share: 0.01069 → 0.01081 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEB1 Units/share: 0.01099 → 0.01112 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC (FXD) 00287YED7 Units/share: 0.01317 → 0.01332 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEE5 Units/share: 0.01489 → 0.01506 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEF2 Units/share: 0.01622 → 0.01641 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEG0 Units/share: 0.01889 → 0.01911 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEH8 Units/share: 0.01622 → 0.01641 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEJ4 Units/share: 0.005916 → 0.005985 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEK1 Units/share: 0.01355 → 0.01371 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEM7 Units/share: 0.02347 → 0.02375 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEN5 Units/share: 0.009924 → 0.01004 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEP0 Units/share: 0.02347 → 0.02375 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YEQ8 Units/share: 0.01412 → 0.01429 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YER6 Units/share: 0.007252 → 0.007336 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YES4 Units/share: 0.005153 → 0.005212 (1.2%)
Aug. 20, 2026 Increased — ABBVIE INC 00287YET2 Units/share: 0.005916 → 0.005985 (1.2%)
Aug. 20, 2026 Increased — CHUBB INA HOLDINGS LLC 00440EAW7 Units/share: 0.01698 → 0.01718 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAA1 Units/share: 0.01603 → 0.01622 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAB9 Units/share: 0.01172 → 0.01185 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAC7 Units/share: 0.01508 → 0.01525 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAD5 Units/share: 0.01557 → 0.01575 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAF0 Units/share: 0.01332 → 0.01347 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAG8 Units/share: 0.02328 → 0.02355 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAH6 Units/share: 0.01069 → 0.01081 (1.2%)
Aug. 20, 2026 Increased — ACCENTURE CAPITAL INC 00440KAJ2 Units/share: 0.01374 → 0.0139 (1.2%)
Aug. 20, 2026 Increased — ADOBE INC 00724PAD1 Units/share: 0.0174 → 0.01761 (1.2%)
Aug. 20, 2026 Increased — ADOBE INC 00724PAF6 Units/share: 0.009924 → 0.01004 (1.2%)
Aug. 20, 2026 Increased — ADOBE INC 00724PAG4 Units/share: 0.009924 → 0.01004 (1.2%)
Aug. 20, 2026 Increased — ADOBE INC 00724PAH2 Units/share: 0.008092 → 0.008185 (1.2%)
Aug. 20, 2026 Increased — ADOBE INC 00724PAJ8 Units/share: 0.004771 → 0.004826 (1.2%)
Aug. 20, 2026 Increased — ADOBE INC 00724PAK5 Units/share: 0.00687 → 0.00695 (1.2%)
Aug. 20, 2026 Increased — ADVANCED MICRO DEVICES INC 007903BF3 Units/share: 0.007061 → 0.007143 (1.2%)
Aug. 20, 2026 Increased — ADVANCED MICRO DEVICES INC 007903BG1 Units/share: 0.005534 → 0.005598 (1.2%)
Aug. 20, 2026 Increased — ADVANCED MICRO DEVICES INC 007903BJ5 Units/share: 0.006107 → 0.006178 (1.2%)
Aug. 20, 2026 Increased — ADVANCED MICRO DEVICES INC 007903BK2 Units/share: 0.0124 → 0.01255 (1.2%)
Aug. 20, 2026 Increased — ADVANCED MICRO DEVICES INC 007903BL0 Units/share: 0.0166 → 0.0168 (1.2%)
Aug. 20, 2026 Increased — ADVANCED MICRO DEVICES INC 007903BM8 Units/share: 0.01202 → 0.01216 (1.2%)
Aug. 20, 2026 Increased — ADVANCED MICRO DEVICES INC 007903BN6 Units/share: 0.0124 → 0.01255 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158AZ9 Units/share: 0.008855 → 0.008958 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BA3 Units/share: 0.01347 → 0.01363 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BC9 Units/share: 0.01118 → 0.01131 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BF2 Units/share: 0.005725 → 0.005792 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BH8 Units/share: 0.01279 → 0.01293 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BJ4 Units/share: 0.008779 → 0.00888 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BK1 Units/share: 0.01069 → 0.01081 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BN5 Units/share: 0.009733 → 0.009846 (1.2%)
Aug. 20, 2026 Increased — AIR PRODUCTS AND CHEMICALS INC 009158BP0 Units/share: 0.005916 → 0.005985 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FB9 Units/share: 0.005916 → 0.005985 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FM5 Units/share: 0.01061 → 0.01073 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FR4 Units/share: 0.009466 → 0.009575 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FS2 Units/share: 0.006756 → 0.006834 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FT0 Units/share: 0.008779 → 0.00888 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FU7 Units/share: 0.006107 → 0.006178 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FV5 Units/share: 0.007061 → 0.007143 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FW3 Units/share: 0.01145 → 0.01158 (1.2%)
Aug. 20, 2026 Increased — ALABAMA POWER COMPANY 010392FX1 Units/share: 0.008588 → 0.008687 (1.2%)

Showing latest 200 of 11838 changes

Dividends 174 payments

08
4.78%TTM yield
$2.15TTM payout / share
Monthly (est.)
Ex-dateAmount / share
Oct. 1, 2026$0.1760
Sept. 1, 2026$0.1770
Aug. 3, 2026$0.1850
July 1, 2026$0.1840
June 1, 2026$0.1790
May 1, 2026$0.1870
April 1, 2026$0.1810
March 2, 2026$0.1770
Feb. 2, 2026$0.1750
Dec. 19, 2025$0.1760
Dec. 1, 2025$0.1760
Nov. 3, 2025$0.1730
Oct. 1, 2025$0.1700
Sept. 2, 2025$0.1750
Aug. 1, 2025$0.1740
July 1, 2025$0.1750
June 2, 2025$0.1750
May 1, 2025$0.1750
April 1, 2025$0.1660
March 3, 2025$0.1850
Feb. 3, 2025$0.1650
Dec. 18, 2024$0.1760
Dec. 2, 2024$0.1710
Nov. 1, 2024$0.1560
Oct. 1, 2024$0.1700
Sept. 3, 2024$0.1700
Aug. 1, 2024$0.1350
July 1, 2024$0.1600
June 3, 2024$0.1600
May 1, 2024$0.1610
April 1, 2024$0.1570
March 1, 2024$0.1540
Feb. 1, 2024$0.1540
Dec. 14, 2023$0.1550
Dec. 1, 2023$0.1480
Nov. 1, 2023$0.1480
Oct. 2, 2023$0.1410
Sept. 1, 2023$0.1440
Aug. 1, 2023$0.1430
July 3, 2023$0.1300
June 1, 2023$0.1360
May 1, 2023$0.1260
April 3, 2023$0.1330
March 1, 2023$0.1260
Feb. 1, 2023$0.1040
Dec. 15, 2022$0.1290
Dec. 1, 2022$0.1180
Nov. 1, 2022$0.1230
Oct. 3, 2022$0.1220
Sept. 1, 2022$0.0890

Institutional owners (13F) 193 filers

09

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
Composition Wealth, LLC $127,173,395 14.33% 2,676,208 Shares June 30, 2026
State of New Jersey Common Pension Fund D $83,160,000 9.37% 1,750,000 Shares June 30, 2026
MAI Capital Management $59,795,800 6.74% 1,258,329 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $49,054,183 5.53% 1,032,285 Shares June 30, 2026
LPL Financial LLC $30,736,226 3.46% 646,806 Shares June 30, 2026
Compass Wealth Management, LLC/GA $29,403,097 3.31% 618,752 Shares June 30, 2026
UBS Group AG $25,449,527 2.87% 535,554 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $24,874,242 2.80% 523,448 Shares June 30, 2026
OneDigital Investment Advisors LLC $24,380,702 2.75% 513,062 Shares June 30, 2026
RAYMOND JAMES FINANCIAL INC $23,210,995 2.62% 488,447 Shares June 30, 2026
AMERIPRISE FINANCIAL INC $23,098,749 2.60% 485,986 Shares June 30, 2026
MORGAN STANLEY $23,045,629 2.60% 484,966 Shares June 30, 2026
MML INVESTORS SERVICES, LLC $21,123,642 2.38% 444,521 Shares June 30, 2026
Parcion Private Wealth LLC $20,235,662 2.28% 425,835 Shares June 30, 2026
SCHRODER INVESTMENT MANAGEMENT GROUP $18,653,337 2.10% 390,564 Shares June 30, 2026
WELLS FARGO & COMPANY/MN $15,588,978 1.76% 328,051 Shares June 30, 2026
Migdal Insurance & Financial Holdings Ltd. $13,492,971 1.52% 283,943 Shares June 30, 2026
JPMORGAN CHASE & CO $13,205,091 1.49% 276,488 Shares June 30, 2026
Madison Asset Management, LLC $10,772,760 1.21% 226,700 Shares June 30, 2026
Fonville Wealth Management LLC $10,595,061 1.19% 222,960 Shares June 30, 2026
CITADEL ADVISORS LLC $10,301,908 1.16% 216,791 Shares June 30, 2026
CAPSTONE WEALTH MANAGEMENT GROUP, LLC $10,129,346 1.14% 213,160 Shares June 30, 2026
STERLING INVESTMENT ADVISORS LLC /ADV $8,579,277 0.97% 180,540 Shares June 30, 2026
ROYAL BANK OF CANADA $8,401,000 0.95% 176,786 Shares June 30, 2026
COLTON GROOME FINANCIAL ADVISORS, LLC $7,541,205 0.85% 158,695 Shares June 30, 2026
JANE STREET GROUP, LLC $7,431,035 0.84% 156,377 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $6,928,559 0.78% 145,803 Shares June 30, 2026
Heck Capital Advisors, LLC $6,707,808 0.76% 140,950 Shares March 31, 2026
WOOSTER CORTHELL WEALTH MANAGEMENT, INC. $6,343,501 0.71% 132,598 Shares June 30, 2025
Vestmark Advisory Solutions, Inc. $5,288,120 0.60% 111,282 Shares June 30, 2026
WRAPMANAGER INC $5,281,420 0.60% 111,141 Shares June 30, 2026
Procyon Advisors, LLC $4,749,322 0.54% 99,944 Shares June 30, 2026
Focus Partners Advisor Solutions, LLC $4,650,353 0.52% 97,860 Shares June 30, 2026
Glen Eagle Advisors, LLC $4,648,732 0.52% 97,827 Shares June 30, 2026
Creative Planning $4,630,672 0.52% 97,447 Shares June 30, 2026
Climber Capital SA $4,433,887 0.50% 117,982 Shares June 30, 2026
Integrated Wealth Concepts LLC $4,325,211 0.49% 91,019 Shares June 30, 2026
Midwest Professional Planners, LTD. $3,972,107 0.45% 83,588 Shares June 30, 2026
ENVESTNET ASSET MANAGEMENT INC $3,930,328 0.44% 82,709 Shares June 30, 2026
Cetera Investment Advisers $3,899,151 0.44% 82,052 Shares June 30, 2026
Clear Creek Financial Management, LLC $3,818,466 0.43% 80,355 Shares June 30, 2026
BlackRock, Inc. $3,805,116 0.43% 80,074 Shares June 30, 2026
Centennial Bank/AR/ $3,733,789 0.42% 78,573 Shares June 30, 2026
NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO $3,620,296 0.41% 76,184 Shares June 30, 2026
DOHJ, LLC $3,351,215 0.38% 71,607 Shares June 30, 2025
ASSETMARK, INC $3,272,797 0.37% 68,872 Shares June 30, 2026
Catalyst Investment Management LLC $3,178,898 0.36% 66,896 Shares June 30, 2026
NorthCrest Asset Manangement, LLC $3,017,273 0.34% 64,170 Shares June 30, 2026
HighTower Advisors, LLC $3,008,570 0.34% 63,312 Shares June 30, 2026
PETRA FINANCIAL ADVISORS INC $2,899,545 0.33% 61,017 Shares June 30, 2026
ISTHMUS PARTNERS, LLC $2,850,060 0.32% 59,976 Shares June 30, 2026
Mirae Asset Global Investments Co., Ltd. $2,843,597 0.32% 59,840 Shares June 30, 2026
Cornerstone Financial Group, LLC /NE/ $2,709,528 0.31% 57,019 Shares June 30, 2026
NorthRock Partners, LLC $2,603,241 0.29% 54,782 Shares June 30, 2026
SHUTTLEWORTH & Co $2,592,026 0.29% 54,546 Shares June 30, 2026
GUGGENHEIM CAPITAL LLC $2,496,226 0.28% 52,530 Shares June 30, 2026
OSAIC HOLDINGS, INC. $2,470,854 0.28% 51,993 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $2,441,625 0.28% 51,381 Shares June 30, 2026
DIVERSIFY WEALTH MANAGEMENT, LLC $2,222,795 0.25% 47,684 Shares June 30, 2026
Diversify Advisory Services, LLC $2,222,795 0.25% 47,684 Shares June 30, 2026
ESL Trust Services, LLC $2,179,793 0.25% 45,871 Shares June 30, 2026
JONES FINANCIAL COMPANIES LLLP $1,834,811 0.21% 38,474 Shares June 30, 2026
RKL Wealth Management LLC $1,657,479 0.19% 34,880 Shares June 30, 2026
Dynamic Wealth Strategies, LLC $1,622,048 0.18% 34,134 Shares June 30, 2026
LFA - Lugano Financial Advisors SA $1,621,620 0.18% 34,674 Shares June 30, 2026
H D Vest Advisory Services $1,582,889 0.18% 33,087 Shares June 30, 2025
Atria Wealth Solutions, Inc. $1,319,475 0.15% 27,581 Shares June 30, 2025
STIFEL FINANCIAL CORP $1,247,268 0.14% 26,248 Shares June 30, 2026
BDFS Capital LLC $1,246,609 0.14% 26,233 Shares June 30, 2026
HANOVER ADVISORS INC $1,233,453 0.14% 25,957 Shares June 30, 2026
Bigelow Investment Advisors, LLC $1,199,167 0.14% 25,235 Shares June 30, 2026
FMR LLC $1,137,427 0.13% 23,936 Shares June 30, 2026
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC $1,105,611 0.12% 23,232 Shares March 31, 2026
Quadrant Private Wealth Management, LLC $1,095,051 0.12% 23,044 Shares June 30, 2026
UNITED CAPITAL FINANCIAL ADVISORS, LLC $1,078,120 0.12% 22,690 Shares June 30, 2026
Summit X, LLC $1,064,412 0.12% 22,250 Shares June 30, 2025
Orion Portfolio Solutions, LLC $1,038,768 0.12% 21,855 Shares March 31, 2025
J.W. COLE ADVISORS, INC. $1,023,114 0.12% 21,530 Shares June 30, 2026
Sanctuary Advisors, LLC $1,002,295 0.11% 21,092 Shares June 30, 2026
Simplicity Wealth,LLC $976,978 0.11% 20,559 Shares June 30, 2026
Detalus Advisors, LLC $935,787 0.11% 19,692 Shares June 30, 2026
MERCER GLOBAL ADVISORS INC /ADV $927,214 0.10% 19,512 Shares June 30, 2026
CreativeOne Wealth, LLC $901,215 0.10% 18,965 Shares June 30, 2026
Krasney Financial LLC $894,809 0.10% 18,802 Shares March 31, 2026
Advyzon Investment Management, LLC $876,506 0.10% 18,445 Shares June 30, 2026
CAMBIAR INVESTORS LLC $873,608 0.10% 18,384 Shares June 30, 2026
Mutual Advisors, LLC $859,861 0.10% 18,095 Shares June 30, 2026
ShoreHaven Wealth Partners, LLC $845,983 0.10% 17,803 Shares June 30, 2026
Compound Planning, Inc. $844,780 0.10% 17,777 Shares June 30, 2026
Kelly Financial Services LLC $833,311 0.09% 17,536 Shares June 30, 2026
Cerity Partners LLC $820,385 0.09% 17,264 Shares June 30, 2026
Running Point Capital Advisors, LLC $787,089 0.09% 16,367 Shares Dec. 31, 2025
Sequoia Financial Advisors, LLC $776,952 0.09% 16,350 Shares June 30, 2026
Sunflower Bank, N.A. $755,568 0.09% 15,900 Shares June 30, 2026
Rockefeller Capital Management L.P. $713,559 0.08% 15,015 Shares June 30, 2026
Summit Financial, LLC $658,024 0.07% 13,847 Shares June 30, 2026
Kestra Advisory Services, LLC $612,391 0.07% 12,887 Shares June 30, 2026
Beaumont Financial Advisors, LLC $610,248 0.07% 12,842 Shares June 30, 2026
Global Assets Advisory, LLC $592,702 0.07% 12,536 Shares June 30, 2026
Montecito Bank & Trust $576,052 0.06% 12,804 Shares Sept. 30, 2026

Peer funds

10

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