VANGUARD INDEX FUNDS (VXF)

Management Company · ARCX · Series S000002841 · View on SEC EDGAR ↗

Dec. 27, 2001
Inception
Net assets
$31.6B
Holdings
3,332
As of
June 30, 2026
Expense ratio
0.05% (Ultra-low)
On this page

Fund flows (SEC-reported)

Last month (Mar 2026)
+$431.1M
Quarter ending Mar 2026
+$433.7M
Trailing 12 months
-$38.4B

Apr 2025 – Mar 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 3,332 holdings

IssuerTicker Weight % Market value Shares CUSIP Units/share TypeCurrency
OneSpan Inc. OSPN 0.01 ≈$3.2M 425,474 68287N100 0.00006376 EQUITY
Onterris Inc. ONT 0.01 ≈$3.2M 388,285 615111101 0.00005819 EQUITY
Ooma Inc. OOMA 0.01 ≈$3.2M 290,557 683416101 0.00004354 EQUITY
Oppenheimer Holdings Inc. Class A OPY 0.01 ≈$3.2M 70,411 683797104 0.00001055 EQUITY
Orion Group Holdings Inc. ORN 0.01 ≈$3.2M 440,685 68628V308 0.00006604 EQUITY
Orrstown Financial Services Inc. ORRF 0.01 ≈$3.2M 224,256 687380105 0.00003361 EQUITY
Ovid therapeutics Inc. OVID 0.01 ≈$3.2M 1,952,040 690469101 0.0002925 EQUITY
Oxford Industries Inc. OXM 0.01 ≈$3.2M 160,566 691497309 0.00002406 EQUITY
PAR Technology Corp. PAR 0.01 ≈$3.2M 474,477 698884103 0.00007111 EQUITY
PC Connection Inc. CNXN 0.01 ≈$3.2M 130,359 69318J100 0.00001954 EQUITY
PRA Group Inc. PRAA 0.01 ≈$3.2M 441,262 69354N106 0.00006613 EQUITY
Pacific Biosciences of California Inc. PACB 0.01 ≈$3.2M 3,579,782 69404D108 0.0005365 EQUITY
Pacira BioSciences Inc. PCRX 0.01 ≈$3.2M 453,622 695127100 0.00006798 EQUITY
PagerDuty Inc. PD 0.01 ≈$3.2M 881,085 69553P100 0.000132 EQUITY
Papa John's International Inc. PZZA 0.01 ≈$3.2M 380,687 698813102 0.00005705 EQUITY
Park Aerospace Corp. PKE 0.01 ≈$3.2M 207,531 70014A104 0.0000311 EQUITY
Pattern Group Inc. Class A PTRN 0.01 ≈$3.2M 337,976 70339W104 0.00005065 EQUITY
Peapack Gladstone Financial Corp. PGC 0.01 ≈$3.2M 183,355 704699107 0.00002748 EQUITY
Pennant Group Inc. PNTG 0.01 ≈$3.2M 398,126 70805E109 0.00005966 EQUITY
PennyMac Mortgage Investment Trust PMT 0.01 ≈$3.2M 1,003,005 70931T103 0.0001503 EQUITY
Peoples Financial Services Corp. PFIS 0.01 ≈$3.2M 107,086 711040105 0.00001605 EQUITY
Perella Weinberg Partners Class A PWP 0.01 ≈$3.2M 817,069 71367G102 0.0001224 EQUITY
Personalis Inc. PSNL 0.01 ≈$3.2M 795,843 71535D106 0.0001193 EQUITY
Phathom Pharmaceuticals Inc. PHAT 0.01 ≈$3.2M 586,438 71722W107 0.00008789 EQUITY
Phibro Animal Health Corp. Class A PAHC 0.01 ≈$3.2M 242,364 71742Q106 0.00003632 EQUITY
Phreesia Inc. PHR 0.01 ≈$3.2M 651,080 71944F106 0.00009757 EQUITY
Piedmont Office Realty Trust Inc. Class A PDM 0.01 ≈$3.2M 1,442,488 720190206 0.0002162 EQUITY
Pilgrim's Pride Corp. PPC 0.01 ≈$3.2M 490,750 72147K108 0.00007355 EQUITY
Postal Realty Trust Inc. Class A PSTL 0.01 ≈$3.2M 301,678 73757R102 0.00004521 EQUITY
Powerfleet Inc. AIOT 0.01 ≈$3.2M 1,385,011 73931J109 0.0002076 EQUITY
Precigen Inc. PGEN 0.01 ≈$3.2M 2,042,450 74017N105 0.0003061 EQUITY
Preferred Bank/Los Angeles CA PFBC 0.01 ≈$3.2M 126,546 740367404 0.00001896 EQUITY
Preformed Line Products Co. PLPC 0.01 ≈$3.2M 29,757 740444104 0.000004459 EQUITY
Procept Biorobotics Corp. PRCT 0.01 ≈$3.2M 651,834 74276L105 0.00009769 EQUITY
PubMatic Inc. Class A PUBM 0.01 ≈$3.2M 415,566 74467Q103 0.00006228 EQUITY
Pulse Biosciences Inc. PLSE 0.01 ≈$3.2M 215,812 74587B101 0.00003234 EQUITY
PureCycle Technologies Inc. PCT 0.01 ≈$3.2M 1,638,660 74623V103 0.0002456 EQUITY
Quanex Building Products Corp. NX 0.01 ≈$3.2M 525,704 747619104 0.00007878 EQUITY
QuidelOrtho Corp. QDEL 0.01 ≈$3.2M 780,319 219798105 0.0001169 EQUITY
QuinStreet Inc. QNST 0.01 ≈$3.2M 657,561 74874Q100 0.00009854 EQUITY
REGENXBIO Inc. RGNX 0.01 ≈$3.2M 564,284 75901B107 0.00008457 EQUITY
REX American Resources Corp. REX 0.01 ≈$3.2M 324,231 761624105 0.00004859 EQUITY
REalloys Inc. ALOY 0.01 ≈$3.2M 541,939 75606V101 0.00008122 EQUITY
RPC Inc. RES 0.01 ≈$3.2M 1,024,441 749660106 0.0001535 EQUITY
RUM Group Inc. RUM 0.01 ≈$3.2M 1,279,653 78137L105 0.0001918 EQUITY
Rackspace Technology Inc. RXT 0.01 ≈$3.2M 1,195,440 750102105 0.0001792 EQUITY
Ramaco Resources Inc. Class A METC 0.01 ≈$3.2M 396,057 75134P600 0.00005935 EQUITY
Rapid7 Inc. RPD 0.01 ≈$3.2M 690,693 753422104 0.0001035 EQUITY
Rapport Therapeutics Inc. RAPP 0.01 ≈$3.2M 328,506 75383L102 0.00004923 EQUITY
Rayonier Advanced Materials Inc. RYAM 0.01 ≈$3.2M 789,579 75508B104 0.0001183 EQUITY

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

Page 33 of 67

Sector breakdown

Industrials
24.0%
Technology
14.6%
Healthcare
13.4%
Financials
8.5%
Real Estate
5.8%
Financial Services
5.3%
Consumer Discretionary
4.3%
Energy
4.2%
Retail
3.7%
Materials
3.1%
Communication Services
2.6%
Utilities
1.8%
Consumer products
1.6%
Consumer Staples
1.0%
Diversified Consumer Services
0.8%
Telecommunication
0.7%
Communications
0.7%
Packaging
0.5%
Logistics & Transportation
0.1%
Paper & Forest
0.1%
N/A
0.0%
Other/Unmapped
3.2%

Daily changes (30d)

DateType Ticker Change
June 30, 2026 Trimmed AA — Alcoa Corp.
013872106
Units/share: 0.0005991 → 0.0004538 (-24.3%)
June 30, 2026 New AADX — Applied Aerospace & Defense Inc.
03815J107
New position — 0.000009627 units/share
June 30, 2026 Trimmed AAL — American Airlines Group Inc.
02376R102
Units/share: 0.001528 → 0.001137 (-25.6%)
June 30, 2026 Trimmed AAME — Atlantic American Corp.
048209100
Units/share: 0.00001244 → 0.000009115 (-26.7%)
June 30, 2026 Trimmed AAMI — Brightsphere Investment Group Inc.
10948W103
Units/share: 0.00006117 → 0.00004525 (-26.0%)
June 30, 2026 Trimmed AAOI — Applied Optoelectronics Inc.
03823U102
Units/share: 0.0001485 → 0.0001297 (-12.7%)
June 30, 2026 Trimmed AAON — AAON Inc.
000360206
Units/share: 0.0001566 → 0.0001169 (-25.3%)
June 30, 2026 Trimmed AAP — Advance Auto Parts Inc.
00751Y106
Units/share: 0.000139 → 0.0001037 (-25.4%)
June 30, 2026 Trimmed AARD — Aardvark Therapeutics Inc.
002942100
Units/share: 0.00002872 → 0.00002104 (-26.7%)
June 30, 2026 Trimmed AAT — American Assets Trust Inc.
024013104
Units/share: 0.0001101 → 0.00008157 (-25.9%)
June 30, 2026 Trimmed ABAT — American Battery Technology Co.
02451V309
Units/share: 0.0003049 → 0.0002317 (-24.0%)
June 30, 2026 Trimmed ABCB — Ameris Bancorp
03076K108
Units/share: 0.0001485 → 0.0001084 (-27.0%)
June 30, 2026 Trimmed ABEO — Abeona Therapeutics Inc.
00289Y206
Units/share: 0.0001185 → 0.00009408 (-20.6%)
June 30, 2026 Trimmed ABG — Asbury Automotive Group Inc.
043436104
Units/share: 0.00004492 → 0.00003198 (-28.8%)
June 30, 2026 Trimmed ABM — ABM Industries Inc.
000957100
Units/share: 0.0001357 → 0.0001007 (-25.8%)
June 30, 2026 Increased ABOS — Acumen Pharmaceuticals Inc.
00509G209
Units/share: 0.00007674 → 0.00007696 (0.3%)
June 30, 2026 Trimmed ABR — Arbor Realty Trust Inc.
038923108
Units/share: 0.0004529 → 0.0003317 (-26.8%)
June 30, 2026 Trimmed ABSI — Absci Corp.
00091E109
Units/share: 0.0003069 → 0.0002361 (-23.1%)
June 30, 2026 Increased ABTC — American Bitcoin Corp. Class A
02462A104
Units/share: 0.0003193 → 0.0004708 (47.5%)
June 30, 2026 Trimmed ABUS — Arbutus Biopharma Corp.
03879J100
Units/share: 0.0003572 → 0.0002713 (-24.0%)
June 30, 2026 Trimmed ABVC — ABVC BioPharma Inc.
00091F304
Units/share: 0.00004261 → 0.00003121 (-26.7%)
June 30, 2026 Trimmed ABX — Abacus Global Management Inc.
00258Y104
Units/share: 0.00007447 → 0.00005353 (-28.1%)
June 30, 2026 Trimmed ACA — Arcosa Inc.
039653100
Units/share: 0.0001135 → 0.00008446 (-25.6%)
June 30, 2026 Trimmed ACAD — ACADIA Pharmaceuticals Inc.
004225108
Units/share: 0.00029 → 0.0002184 (-24.7%)
June 30, 2026 Trimmed ACCO — ACCO Brands Corp.
00081T108
Units/share: 0.0002017 → 0.0001582 (-21.6%)
June 30, 2026 Trimmed ACCS — Issuer Direct Corp.
46520M204
Units/share: 0.000006323 → 0.000004632 (-26.7%)
June 30, 2026 Trimmed ACDC — ProFrac Holding Corp. Class A
74319N100
Units/share: 0.00005012 → 0.00003672 (-26.7%)
June 30, 2026 Trimmed ACEL — Accel Entertainment Inc.
00436Q106
Units/share: 0.0001351 → 0.00009815 (-27.4%)
June 30, 2026 Trimmed ACET — Adicet Bio Inc.
007002207
Units/share: 0.00002023 → 0.00001482 (-26.7%)
June 30, 2026 Trimmed ACFN — Acorn Energy Inc.
004848206
Units/share: 0.00000372 → 0.000002725 (-26.7%)
June 30, 2026 Trimmed ACGN — Aceragen Inc.
00445F109
Units/share: 0.000008076 → 0.000005916 (-26.7%)
June 30, 2026 Trimmed ACH — Owens & Minor Inc.
690732102
Units/share: 0.0001705 → 0.0001249 (-26.7%)
June 30, 2026 Trimmed ACHC — Acadia Healthcare Co. Inc.
00404A109
Units/share: 0.0002137 → 0.0001583 (-25.9%)
June 30, 2026 Trimmed ACHR — Archer Aviation Inc. Class A
03945R102
Units/share: 0.001425 → 0.001098 (-22.9%)
June 30, 2026 Increased ACHV — Achieve Life Sciences Inc.
004468500
Units/share: 0.0001224 → 0.0001434 (17.2%)
June 30, 2026 Trimmed ACI — Albertsons Cos. Inc. Class A
013091103
Units/share: 0.0008559 → 0.0006122 (-28.5%)
June 30, 2026 Trimmed ACIC — United Insurance Holdings Corp.
910710102
Units/share: 0.00005826 → 0.00004268 (-26.7%)
June 30, 2026 Trimmed ACIW — ACI Worldwide Inc.
004498101
Units/share: 0.0002384 → 0.0001749 (-26.7%)
June 30, 2026 Trimmed ACLS — Axcelis Technologies Inc.
054540208
Units/share: 0.000071 → 0.00005285 (-25.6%)
June 30, 2026 Trimmed ACM — AECOM
00766T100
Units/share: 0.0002992 → 0.0002211 (-26.1%)
June 30, 2026 Trimmed ACMR — ACM Research Inc. Class A
00108J109
Units/share: 0.0001234 → 0.00009813 (-20.5%)
June 30, 2026 Trimmed ACNB — ACNB Corp.
000868109
Units/share: 0.00002429 → 0.00001785 (-26.5%)
June 30, 2026 Trimmed ACNT — Synalloy Corp.
871565107
Units/share: 0.00001463 → 0.00001071 (-26.7%)
June 30, 2026 Trimmed ACON — Aclarion Inc.
655187409
Units/share: 0.000001387 → 0.000001016 (-26.7%)
June 30, 2026 Trimmed ACR — ACRES Commercial Realty Corp.
00489Q102
Units/share: 0.0000132 → 0.000009671 (-26.7%)
June 30, 2026 Trimmed ACRE — Ares Commercial Real Estate Corp.
04013V108
Units/share: 0.0001313 → 0.0000962 (-26.7%)
June 30, 2026 Trimmed ACRS — Aclaris Therapeutics Inc.
00461U105
Units/share: 0.0002261 → 0.0002172 (-4.0%)
June 30, 2026 Increased ACRV — Acrivon Therapeutics Inc.
004890109
Units/share: 0.00004514 → 0.00005838 (29.3%)
June 30, 2026 Trimmed ACT — Enact Holdings Inc.
29249E109
Units/share: 0.00006701 → 0.00004805 (-28.3%)
June 30, 2026 Trimmed ACTG — Acacia Research Corp.
003881307
Units/share: 0.00007909 → 0.00005794 (-26.7%)
June 30, 2026 Trimmed ACTU — Actuate Therapeutics Inc.
005083100
Units/share: 0.00002169 → 0.00001589 (-26.7%)
June 30, 2026 Trimmed ACU — Acme United Corp.
004816104
Units/share: 0.00000757 → 0.000005546 (-26.7%)
June 30, 2026 Trimmed ACVA — ACV Auctions Inc. Class A
00091G104
Units/share: 0.0003988 → 0.0003028 (-24.1%)
June 30, 2026 Trimmed ACXP — Acurx Pharmaceuticals Inc.
00510M203
Units/share: 0.000006362 → 0.000004661 (-26.7%)
June 30, 2026 Trimmed AD — United States Cellular Corp.
911684108
Units/share: 0.00003335 → 0.00002477 (-25.7%)
June 30, 2026 Trimmed ADAM — Adamas Trust Inc.
649604840
Units/share: 0.0001942 → 0.0001444 (-25.6%)
June 30, 2026 Trimmed ADC — Agree Realty Corp.
008492100
Units/share: 0.0002772 → 0.0002063 (-25.6%)
June 30, 2026 Trimmed ADEA — Adeia Inc.
00676P107
Units/share: 0.0002531 → 0.0001898 (-25.0%)
June 30, 2026 Trimmed ADGM — Adagio Medical Holdings Inc.
00534B100
Units/share: 0.00001872 → 0.00001371 (-26.7%)
June 30, 2026 Increased ADIL — Adial Pharmaceuticals Inc.
00688A304
Units/share: 0.00000007385 → 0.0000008739 (1083.3%)
June 30, 2026 Trimmed ADMA — ADMA Biologics Inc.
000899104
Units/share: 0.0005513 → 0.0003986 (-27.7%)
June 30, 2026 Trimmed ADNT — Adient plc
G0084W101
Units/share: 0.0001814 → 0.000135 (-25.6%)
June 30, 2026 Trimmed ADPT — Adaptive Biotechnologies Corp.
00650F109
Units/share: 0.0002742 → 0.0002121 (-22.6%)
June 30, 2026 Trimmed ADT — ADT Inc.
00090Q103
Units/share: 0.001348 → 0.0009692 (-28.1%)
June 30, 2026 Trimmed ADTI — Adapti Inc.
813924107
Units/share: 0.0000005108 → 0.0000003742 (-26.7%)
June 30, 2026 Trimmed ADTN — ADTRAN Holdings Inc.
00486H105
Units/share: 0.0001708 → 0.0001286 (-24.7%)
June 30, 2026 Trimmed ADUS — Addus HomeCare Corp.
006739106
Units/share: 0.00004224 → 0.00003144 (-25.6%)
June 30, 2026 Trimmed ADV — Advantage Solutions Inc.
00791N201
Units/share: 0.00001001 → 0.000007575 (-24.3%)
June 30, 2026 Trimmed AEHR — Aehr Test Systems
00760J108
Units/share: 0.00006668 → 0.0000508 (-23.8%)
June 30, 2026 Trimmed AEI — Alset Inc.
02115D208
Units/share: 0.00008631 → 0.00006322 (-26.7%)
June 30, 2026 Trimmed AEIS — Advanced Energy Industries Inc.
007973100
Units/share: 0.00008731 → 0.0000654 (-25.1%)
June 30, 2026 Trimmed AEO — American Eagle Outfitters Inc.
02553E106
Units/share: 0.000365 → 0.0002677 (-26.7%)
June 30, 2026 Trimmed AEON — AEON Biopharma Inc.
00791X209
Units/share: 0.00001852 → 0.00001357 (-26.7%)
June 30, 2026 Trimmed AESI — Atlas Energy Solutions Inc.
642045108
Units/share: 0.000178 → 0.000134 (-24.7%)
June 30, 2026 Trimmed AEVA — Aeva Technologies Inc.
00835Q202
Units/share: 0.0000642 → 0.00005026 (-21.7%)
June 30, 2026 Trimmed AEYE — AudioEye Inc.
050734201
Units/share: 0.00001988 → 0.00001456 (-26.7%)
June 30, 2026 Trimmed AFBI — Affinity Bancshares Inc.
00832E103
Units/share: 0.00001044 → 0.000007651 (-26.7%)
June 30, 2026 Trimmed AFG — American Financial Group Inc./OH
025932104
Units/share: 0.00016 → 0.0001186 (-25.9%)
June 30, 2026 Trimmed AFRM — Affirm Holdings Inc.
00827B106
Units/share: 0.0006766 → 0.0005062 (-25.2%)
June 30, 2026 Trimmed AGCO — AGCO Corp.
001084102
Units/share: 0.000139 → 0.0001034 (-25.6%)
June 30, 2026 Trimmed AGEN — Agenus Inc.
00847G804
Units/share: 0.00007885 → 0.00007271 (-7.8%)
June 30, 2026 Trimmed AGIG — Abundia Global Impact Group Inc.
44183U308
Units/share: 0.000007006 → 0.000006872 (-1.9%)
June 30, 2026 Trimmed AGIO — Agios Pharmaceuticals Inc.
00847X104
Units/share: 0.0001357 → 0.0001025 (-24.5%)
June 30, 2026 Trimmed AGL — agilon health Inc.
00857U206
Units/share: 0.00002863 → 0.00002151 (-24.9%)
June 30, 2026 Trimmed AGM — Federal Agricultural Mortgage Corp.
313148306
Units/share: 0.00002162 → 0.00001597 (-26.1%)
June 30, 2026 Trimmed AGM.A — Federal Agricultural Mortgage Corp. Class A
313148108
Units/share: 0.000001562 → 0.000001144 (-26.7%)
June 30, 2026 Trimmed AGNC — AGNC Investment Corp.
00123Q104
Units/share: 0.002561 → 0.001974 (-22.9%)
June 30, 2026 Trimmed AGNT — eXp World Holdings Inc.
30212W100
Units/share: 0.0002093 → 0.0001614 (-22.9%)
June 30, 2026 Trimmed AGO — Assured Guaranty Ltd.
G0585R106
Units/share: 0.0001001 → 0.00007145 (-28.6%)
June 30, 2026 Increased AGPU — Axe Compute Inc.
74039M408
Units/share: 0.000006756 → 0.000008606 (27.4%)
June 30, 2026 Trimmed AGX — Argan Inc.
04010E109
Units/share: 0.0000321 → 0.00002401 (-25.2%)
June 30, 2026 Trimmed AGYS — Agilysys Inc.
00847J105
Units/share: 0.00005909 → 0.00004387 (-25.7%)
June 30, 2026 Trimmed AHCO — AdaptHealth Corp.
00653Q102
Units/share: 0.0002488 → 0.0001853 (-25.5%)
June 30, 2026 Trimmed AHR — American Healthcare REIT Inc.
398182303
Units/share: 0.0004103 → 0.0003315 (-19.2%)
June 30, 2026 Trimmed AHRT — Armada Hoffler Properties Inc.
04208T108
Units/share: 0.0001875 → 0.0001325 (-29.3%)
June 30, 2026 Trimmed AHT — Ashford Hospitality Trust Inc.
044103794
Units/share: 0.00001237 → 0.000009065 (-26.7%)
June 30, 2026 Trimmed AI — C3.ai Inc. Class A
12468P104
Units/share: 0.0002891 → 0.0002232 (-22.8%)
June 30, 2026 New AIAI — AIAI Holdings Corp. Class A
008933103
New position — 0.00009303 units/share
June 30, 2026 Increased AIB — AIB Data Centers Inc.
093919108
Units/share: 0.0000008684 → 0.00002405 (2669.7%)
June 30, 2026 New AIDX — 20/20 Biolabs Inc.
90138K101
New position — 0.000003676 units/share
June 30, 2026 Exited AIFA
019170109
Position exited — was 0.00004664 units/share
June 30, 2026 New AIFA — All In FutureTech Alliance Inc.
019170208
New position — 0.000005695 units/share
June 30, 2026 Trimmed AIFC — JanOne Inc.
47089W104
Units/share: 0.0002902 → 0.0002126 (-26.7%)
June 30, 2026 Trimmed AIFF — Firefly Neuroscience Inc.
317970101
Units/share: 0.00002289 → 0.00001677 (-26.7%)
June 30, 2026 Trimmed AII — American Integrity Insurance Group Inc.
026948109
Units/share: 0.00001584 → 0.0000116 (-26.7%)
June 30, 2026 Trimmed AIMD — Ainos Inc.
00902F402
Units/share: 0.000003278 → 0.000002401 (-26.7%)
June 30, 2026 Trimmed AIN — Albany International Corp. Class A
012348108
Units/share: 0.00006647 → 0.00004886 (-26.5%)
June 30, 2026 Trimmed AIOT — Powerfleet Inc.
73931J109
Units/share: 0.0002702 → 0.0002076 (-23.2%)
June 30, 2026 Trimmed AIP — Arteris Inc.
04302A104
Units/share: 0.00007477 → 0.00005712 (-23.6%)
June 30, 2026 Trimmed AIR — AAR Corp.
000361105
Units/share: 0.00009028 → 0.00006741 (-25.3%)
June 30, 2026 Trimmed AIRE — reAlpha Tech Corp.
75607T204
Units/share: 0.000008616 → 0.000006312 (-26.7%)
June 30, 2026 Trimmed AIRG — Airgain Inc.
00938A104
Units/share: 0.00002565 → 0.00001879 (-26.7%)
June 30, 2026 Trimmed AIRI — Air Industries Group
00912N403
Units/share: 0.000007548 → 0.00000553 (-26.7%)
June 30, 2026 Trimmed AIRJ — AirJoule Technologies Corp.
612160101
Units/share: 0.00007795 → 0.0000571 (-26.7%)
June 30, 2026 Trimmed AIRO — AIRO Group Holdings Inc.
009422106
Units/share: 0.00002379 → 0.00001742 (-26.7%)
June 30, 2026 Increased AIRS — AirSculpt Technologies Inc.
009496100
Units/share: 0.00003769 → 0.00004307 (14.3%)
June 30, 2026 Trimmed AIRT — Air T Inc.
009207101
Units/share: 0.000002365 → 0.000001733 (-26.7%)
June 30, 2026 Trimmed AISP — Airship AI Holdings Inc.
008940108
Units/share: 0.00005118 → 0.00003749 (-26.7%)
June 30, 2026 Trimmed AIT — Applied Industrial Technologies Inc.
03820C105
Units/share: 0.00008629 → 0.00006359 (-26.3%)
June 30, 2026 Increased AIXC — AIxCrypto Holdings Inc.
74754R301
Units/share: 0.000008805 → 0.00003692 (319.3%)
June 30, 2026 Trimmed AKA — aka Brands Holding Corp.
00152K200
Units/share: 0.0000009308 → 0.0000006819 (-26.7%)
June 30, 2026 Trimmed AKBA — Akebia Therapeutics Inc.
00972D105
Units/share: 0.0006152 → 0.0004743 (-22.9%)
June 30, 2026 Trimmed AKR — Acadia Realty Trust
004239109
Units/share: 0.0003032 → 0.0002293 (-24.4%)
June 30, 2026 Trimmed AKTS — Aktis Oncology Inc.
01021M104
Units/share: 0.00004324 → 0.00003202 (-25.9%)
June 30, 2026 Trimmed ALAB — Astera Labs Inc.
04626A103
Units/share: 0.0003072 → 0.0002299 (-25.1%)
June 30, 2026 Trimmed ALBT — Avalon GloboCare Corp.
05344R302
Units/share: 0.00001173 → 0.000008591 (-26.7%)
June 30, 2026 Trimmed ALCO — Alico Inc.
016230104
Units/share: 0.00001415 → 0.00001037 (-26.7%)
June 30, 2026 Trimmed ALDX — Aldeyra Therapeutics Inc.
01438T106
Units/share: 0.0001067 → 0.00007816 (-26.7%)
June 30, 2026 Trimmed ALEC — Alector Inc.
014442107
Units/share: 0.0002115 → 0.0001606 (-24.1%)
June 30, 2026 Trimmed ALG — Alamo Group Inc.
011311107
Units/share: 0.00002498 → 0.00001859 (-25.6%)
June 30, 2026 Trimmed ALGM — Allegro MicroSystems Inc.
01749D105
Units/share: 0.0002872 → 0.0002135 (-25.7%)
June 30, 2026 Trimmed ALGS — Aligos Therapeutics Inc.
01626L204
Units/share: 0.000009568 → 0.00000701 (-26.7%)
June 30, 2026 Trimmed ALGT — Allegiant Travel Co. Class A
01748X102
Units/share: 0.00005055 → 0.00003862 (-23.6%)
June 30, 2026 Trimmed ALH — Alliance Laundry Holdings Inc.
01862Q107
Units/share: 0.00008685 → 0.00006463 (-25.6%)
June 30, 2026 Trimmed ALHC — Alignment Healthcare Inc.
01625V104
Units/share: 0.0003708 → 0.0002843 (-23.3%)
June 30, 2026 Trimmed ALIT — Alight Inc. Class A
01626W101
Units/share: 0.001083 → 0.0008274 (-23.6%)
June 30, 2026 Trimmed ALK — Alaska Air Group Inc.
011659109
Units/share: 0.0002652 → 0.0001916 (-27.7%)
June 30, 2026 Trimmed ALKS — Alkermes plc
G01767105
Units/share: 0.000382 → 0.0002866 (-25.0%)
June 30, 2026 Trimmed ALKT — Alkami Technology Inc.
01644J108
Units/share: 0.0001824 → 0.0001376 (-24.6%)
June 30, 2026 Trimmed ALLO — Allogene Therapeutics Inc.
019770106
Units/share: 0.0005823 → 0.000483 (-17.1%)
June 30, 2026 Trimmed ALLR — Allarity Therapeutics Inc.
016744500
Units/share: 0.00003514 → 0.00002575 (-26.7%)
June 30, 2026 Trimmed ALLY — Ally Financial Inc.
02005N100
Units/share: 0.0006491 → 0.0004796 (-26.1%)
June 30, 2026 Increased ALMR — Alamar Biosciences Inc.
010911105
Units/share: 0.000003586 → 0.00002045 (470.4%)
June 30, 2026 Trimmed ALMS — Alumis Inc.
022307102
Units/share: 0.0001877 → 0.0001464 (-22.0%)
June 30, 2026 Trimmed ALMU — Aeluma Inc.
00776X109
Units/share: 0.00002621 → 0.0000198 (-24.5%)
June 30, 2026 Trimmed ALNT — Allied Motion Technologies Inc.
019330109
Units/share: 0.00003443 → 0.00002572 (-25.3%)
June 30, 2026 Trimmed ALNY — Alnylam Pharmaceuticals Inc.
02043Q107
Units/share: 0.0003068 → 0.0002296 (-25.2%)
June 30, 2026 Trimmed ALOT — AstroNova Inc.
04638F108
Units/share: 0.00001762 → 0.00001291 (-26.7%)
June 30, 2026 Increased ALOY — REalloys Inc.
75606V101
Units/share: 0.000005523 → 0.00008122 (1370.6%)
June 30, 2026 Trimmed ALRM — Alarm.com Holdings Inc.
011642105
Units/share: 0.0001156 → 0.00008509 (-26.4%)
June 30, 2026 Trimmed ALRS — Alerus Financial Corp.
01446U103
Units/share: 0.00005857 → 0.0000434 (-25.9%)
June 30, 2026 Trimmed ALSN — Allison Transmission Holdings Inc.
01973R101
Units/share: 0.0001925 → 0.0001426 (-25.9%)
June 30, 2026 Trimmed ALT — Altimmune Inc.
02155H200
Units/share: 0.0004377 → 0.000335 (-23.5%)
June 30, 2026 Trimmed ALTG — Alta Equipment Group Inc.
02128L106
Units/share: 0.00004484 → 0.00003451 (-23.0%)
June 30, 2026 Trimmed ALTI — AlTi Global Inc.
02157E106
Units/share: 0.0001031 → 0.00008051 (-21.9%)
June 30, 2026 Trimmed ALTO — Alto Ingredients Inc.
021513106
Units/share: 0.0001797 → 0.0001364 (-24.1%)
June 30, 2026 Trimmed ALV — Autoliv Inc.
052800109
Units/share: 0.0001589 → 0.0001185 (-25.4%)
June 30, 2026 Trimmed ALX — Alexander's Inc.
014752109
Units/share: 0.00000502 → 0.000003678 (-26.7%)
June 30, 2026 Increased ALXO — ALX Oncology Holdings Inc.
00166B105
Units/share: 0.00008168 → 0.0001837 (125.0%)
June 30, 2026 Trimmed ALZN — Alzamend Neuro Inc.
02262M605
Units/share: 0.000001546 → 0.000001132 (-26.7%)
June 30, 2026 Trimmed AM — Antero Midstream Corp.
03676B102
Units/share: 0.0007662 → 0.000572 (-25.3%)
June 30, 2026 Trimmed AMAL — Amalgamated Bank Class A
022671101
Units/share: 0.00004914 → 0.00003665 (-25.4%)
June 30, 2026 Trimmed AMBA — Ambarella Inc.
G037AX101
Units/share: 0.00009472 → 0.00007154 (-24.5%)
June 30, 2026 Trimmed AMBQ — Ambiq Micro Inc.
023193105
Units/share: 0.00001604 → 0.00001566 (-2.4%)
June 30, 2026 Increased AMC — AMC Entertainment Holdings Inc.
00165C302
Units/share: 0.001196 → 0.001296 (8.4%)
June 30, 2026 Trimmed AMCI — AMC Robotics Corp.
001661107
Units/share: 0.00001089 → 0.00000798 (-26.7%)
June 30, 2026 Trimmed AMCX — AMC Networks Inc. Class A
00164V103
Units/share: 0.00007178 → 0.0000563 (-21.6%)
June 30, 2026 Trimmed AMG — Affiliated Managers Group Inc.
008252108
Units/share: 0.00006506 → 0.00004536 (-30.3%)
June 30, 2026 Trimmed AMH — American Homes 4 Rent Class A
02665T306
Units/share: 0.0007543 → 0.0005443 (-27.8%)
June 30, 2026 Trimmed AMKR — Amkor Technology Inc.
031652100
Units/share: 0.0002631 → 0.0001961 (-25.5%)
June 30, 2026 Trimmed AMLX — Amylyx Pharmaceuticals Inc.
03237H101
Units/share: 0.0001932 → 0.0001449 (-25.0%)
June 30, 2026 Trimmed AMN — AMN Healthcare Services Inc.
001744101
Units/share: 0.00008908 → 0.00006706 (-24.7%)
June 30, 2026 Exited AMOD
020952107
Position exited — was 0.00008739 units/share
June 30, 2026 New AMOD — Alpha Modus Holdings Inc.
020952206
New position — 0.000001601 units/share
June 30, 2026 Trimmed AMPG — AmpliTech Group Inc.
03211Q200
Units/share: 0.00004549 → 0.00003774 (-17.0%)
June 30, 2026 Trimmed AMPH — Amphastar Pharmaceuticals Inc.
03209R103
Units/share: 0.00008195 → 0.00005859 (-28.5%)
June 30, 2026 Trimmed AMPL — Amplitude Inc. Class A
03213A104
Units/share: 0.0002196 → 0.0001623 (-26.1%)
June 30, 2026 Trimmed AMPX — Amprius Technologies Inc.
03214Q108
Units/share: 0.0003022 → 0.0002435 (-19.4%)
June 30, 2026 Trimmed AMPY — Amplify Energy Corp.
03212B103
Units/share: 0.00007898 → 0.00006065 (-23.2%)
June 30, 2026 Trimmed AMR — Alpha Metallurgical Resources Inc.
020764106
Units/share: 0.00002501 → 0.00001836 (-26.6%)
June 30, 2026 Trimmed AMRC — Ameresco Inc. Class A
02361E108
Units/share: 0.00007107 → 0.00005345 (-24.8%)
June 30, 2026 Trimmed AMRX — Amneal Pharmaceuticals Inc.
03168L105
Units/share: 0.000393 → 0.0002957 (-24.8%)
June 30, 2026 Trimmed AMRZ — Amrize Ltd.
Xb7858d2991e
Units/share: 0.00119 → 0.0008852 (-25.6%)
June 30, 2026 Trimmed AMS — American Shared Hospital Services
029595105
Units/share: 0.00001139 → 0.000008342 (-26.7%)
June 30, 2026 Trimmed AMSC — American Superconductor Corp.
030111207
Units/share: 0.0001103 → 0.00008195 (-25.7%)
June 30, 2026 Trimmed AMSF — AMERISAFE Inc.
03071H100
Units/share: 0.00004358 → 0.00003228 (-25.9%)
June 30, 2026 Trimmed AMST — Amesite Inc.
031094204
Units/share: 0.000006178 → 0.000004526 (-26.7%)
June 30, 2026 Trimmed AMTB — Amerant Bancorp Inc. Class A
023576101
Units/share: 0.00008905 → 0.00006393 (-28.2%)
June 30, 2026 Trimmed AMTM — Amentum Holdings Inc.
023939101
Units/share: 0.0003561 → 0.0002645 (-25.7%)
June 30, 2026 Trimmed AMTX — Aemetis Inc.
00770K202
Units/share: 0.0001395 → 0.0001213 (-13.0%)
June 30, 2026 Trimmed AMWL — American Well Corp. Class A
03044L204
Units/share: 0.00003291 → 0.00002538 (-22.9%)
June 30, 2026 Increased AMZE — Amaze Holdings Inc.
35804X200
Units/share: 0.0000222 → 0.0000501 (125.7%)
June 30, 2026 Trimmed AN — AutoNation Inc.
05329W102
Units/share: 0.00006022 → 0.00004312 (-28.4%)
June 30, 2026 Trimmed ANAB — AnaptysBio Inc.
032724106
Units/share: 0.00004553 → 0.00003551 (-22.0%)
June 30, 2026 Trimmed ANDE — Andersons Inc.
034164103
Units/share: 0.00007777 → 0.00005796 (-25.5%)
June 30, 2026 Trimmed ANDG — Andersen Group Inc. Class A
033853102
Units/share: 0.00002927 → 0.00002338 (-20.1%)
June 30, 2026 Trimmed ANF — Abercrombie & Fitch Co.
002896207
Units/share: 0.000106 → 0.00007689 (-27.5%)
June 30, 2026 Trimmed ANGI — Angi Inc. Class A
00183L201
Units/share: 0.00007638 → 0.00005595 (-26.7%)
June 30, 2026 Trimmed ANGO — AngioDynamics Inc.
03475V101
Units/share: 0.00009428 → 0.00007263 (-23.0%)
June 30, 2026 Trimmed ANGX — Angel Studios Inc. Class A
034948109
Units/share: 0.0001909 → 0.000166 (-13.1%)

Showing latest 200 of 6666 changes

Institutional owners (13F) 1,139 filers

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
ENVESTNET ASSET MANAGEMENT INC $1,095,989,646 10.41% 4,451,442 Shares June 30, 2026
Wealthfront Advisers LLC $849,499,753 8.07% 3,450,306 Shares June 30, 2026
MERCER GLOBAL ADVISORS INC /ADV $451,370,461 4.29% 1,833,274 Shares June 30, 2026
FIFTH THIRD BANCORP $345,478,859 3.28% 1,403,188 Shares June 30, 2026
ASSETMARK, INC $325,340,257 3.09% 1,321,393 Shares June 30, 2026
VANGUARD ADVISERS INC $272,964,466 2.59% 1,326,360 Shares March 31, 2026
LPL Financial LLC $262,202,374 2.49% 1,064,954 Shares June 30, 2026
VANGUARD GROUP INC $247,370,791 2.35% 1,182,915 Shares Dec. 31, 2025
Plante Moran Financial Advisors, LLC $246,906,453 2.35% 1,002,829 Shares June 30, 2026
Focus Partners Wealth $219,878,223 2.09% 893,051 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $207,995,500 1.98% 844,789 Shares June 30, 2026
Wealthspire Advisors, LLC $206,370,853 1.96% 838,191 Shares June 30, 2026
UBS Group AG $164,860,493 1.57% 669,593 Shares June 30, 2026
US BANCORP \DE\ $164,351,331 1.56% 667,525 Shares June 30, 2026
Gleason Group, Inc. $158,812,109 1.51% 645,027 Shares June 30, 2026
SageView Advisory Group, LLC $157,206,937 1.49% 638,507 Shares June 30, 2026
JONES FINANCIAL COMPANIES LLLP $156,385,384 1.49% 646,996 Shares June 30, 2026
TD PRIVATE CLIENT WEALTH LLC $155,673,425 1.48% 632,279 Shares June 30, 2026
NEPC LLC $148,978,716 1.42% 605,088 Shares June 30, 2026
Kestra Investment Management, LLC $135,635,438 1.29% 550,893 Shares June 30, 2026
DIVERSIFIED TRUST CO $126,744,788 1.20% 514,783 Shares June 30, 2026
Stratos Wealth Partners, LTD. $91,351,787 0.87% 371,031 Shares June 30, 2026
Van Cleef Asset Management,Inc $83,928,076 0.80% 340,880 Shares June 30, 2026
CAPTRUST FINANCIAL ADVISORS $82,643,926 0.78% 335,664 Shares June 30, 2026
OSAIC HOLDINGS, INC. $80,169,024 0.76% 325,412 Shares June 30, 2026
ALLIANCEBERNSTEIN L.P. $72,730,337 0.69% 353,403 Shares June 30, 2026
Charter Oak Capital Management, LLC $72,428,599 0.69% 351,937 Shares March 31, 2026
NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO $71,201,076 0.68% 289,189 Shares June 30, 2026
Tenon Financial LLC $67,347,215 0.64% 273,536 Shares June 30, 2026
BNP PARIBAS FINANCIAL MARKETS $63,939,014 0.61% 259,693 Shares June 30, 2026
Cetera Investment Advisers $61,778,966 0.59% 250,920 Shares June 30, 2026
GeoWealth Management, LLC $58,465,144 0.56% 237,457 Shares June 30, 2026
Vanguard National Trust Co $56,114,460 0.53% 227,913 Shares June 30, 2026
ACT WEALTH MANAGEMENT, LLC $52,352,602 0.50% 212,634 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $51,611,932 0.49% 209,626 Shares June 30, 2026
James J. Burns & Company, LLC $50,423,264 0.48% 204,797 Shares June 30, 2026
Mariner, LLC $50,235,550 0.48% 204,055 Shares June 30, 2026
COBBLESTONE CAPITAL ADVISORS LLC /NY/ $48,890,311 0.46% 233,545 Shares Sept. 30, 2025
HCR Wealth Advisors $47,505,365 0.45% 192,946 Shares June 30, 2026
MAYPORT, LLC $47,384,178 0.45% 192,454 Shares June 30, 2026
Beacon Harbor Wealth Advisors, Inc. $46,886,055 0.45% 198,535 Shares June 30, 2026
COLDSTREAM CAPITAL MANAGEMENT INC $43,579,612 0.41% 177,002 Shares June 30, 2026
LINCOLN NATIONAL CORP $42,085,168 0.40% 170,932 Shares June 30, 2026
EP Wealth Advisors, LLC $41,733,647 0.40% 169,504 Shares June 30, 2026
MOODY NATIONAL BANK TRUST DIVISION $40,962,943 0.39% 166,374 Shares June 30, 2026
Clearstead Advisors, LLC $39,983,803 0.38% 162,397 Shares June 30, 2026
Legacy Private Trust Co. $39,346,327 0.37% 159,808 Shares June 30, 2026
RAYMOND JAMES FINANCIAL INC $38,903,792 0.37% 158,011 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $38,320,124 0.36% 155,640 Shares June 30, 2026
Valmark Advisers, Inc. $36,638,674 0.35% 148,811 Shares June 30, 2026
Voya Financial Advisors, Inc. $35,528,578 0.34% 145,505 Shares June 30, 2026
Firestone Capital Management $34,738,906 0.33% 141,095 Shares June 30, 2026
MATHER GROUP, LLC. $34,472,352 0.33% 140,012 Shares June 30, 2026
FC Advisory LLC $33,051,805 0.31% 134,242 Shares June 30, 2026
Investment Planning Advisors, Inc. $30,981,086 0.29% 125,832 Shares June 30, 2026
MML INVESTORS SERVICES, LLC $30,509,890 0.29% 123,918 Shares June 30, 2026
CYPRESS FINANCIAL PLANNING LLC $29,719,764 0.28% 120,709 Shares June 30, 2026
New England Private Wealth Advisors LLC $29,703,234 0.28% 125,792 Shares June 30, 2026
STIFEL FINANCIAL CORP $29,198,785 0.28% 118,591 Shares June 30, 2026
Strategic Investment Advisors / MI $29,044,939 0.28% 117,968 Shares June 30, 2026
NewEdge Advisors, LLC $28,859,383 0.27% 117,214 Shares June 30, 2026
BIP Wealth, LLC $28,320,729 0.27% 115,027 Shares June 30, 2026
Continuum Advisory, LLC $27,031,204 0.26% 109,789 Shares June 30, 2026
Lido Advisors, LLC $26,760,252 0.25% 108,688 Shares June 30, 2026
Winthrop Advisory Group LLC $25,908,102 0.25% 105,228 Shares June 30, 2026
Cerity Partners LLC $25,239,037 0.24% 102,510 Shares June 30, 2026
TWIN FOCUS CAPITAL PARTNERS, LLC $24,869,905 0.24% 101,011 Shares June 30, 2026
Keel Point, LLC $24,344,997 0.23% 98,879 Shares June 30, 2026
CIBC Bancorp USA Inc. $24,164,470 0.23% 102,246 Shares June 30, 2026
Fairway Wealth LLC $23,308,579 0.22% 94,675 Shares June 30, 2026
Prime Buchholz LLC $23,056,089 0.22% 93,644 Shares June 30, 2026
BROWN ADVISORY INC $21,210,704 0.20% 86,149 Shares June 30, 2026
Private Advisor Group, LLC $21,089,085 0.20% 85,655 Shares June 30, 2026
Envestnet Portfolio Solutions, Inc. $20,846,714 0.20% 84,670 Shares June 30, 2026
N.E.W. Advisory Services LLC $20,721,870 0.20% 84,163 Shares June 30, 2026
J.W. COLE ADVISORS, INC. $20,377,594 0.19% 82,765 Shares June 30, 2026
SENTINEL PENSION ADVISORS, LLC $20,125,729 0.19% 84,498 Shares June 30, 2026
HighTower Advisors, LLC $19,991,179 0.19% 81,196 Shares June 30, 2026
Summit Wealth Group, LLC $19,918,801 0.19% 80,902 Shares June 30, 2026
BIP Alliance, LLC $19,852,576 0.19% 103,018 Shares June 30, 2025
Procyon Advisors, LLC $18,959,037 0.18% 77,004 Shares June 30, 2026
BLAIR WILLIAM & CO/IL $18,657,055 0.18% 75,777 Shares June 30, 2026
PRINCIPAL SECURITIES, INC. $18,645,428 0.18% 75,730 Shares June 30, 2026
MANUFACTURERS LIFE INSURANCE COMPANY, THE $18,471,293 0.18% 75,162 Shares June 30, 2026
Applied Capital LLC $18,310,678 0.17% 74,370 Shares June 30, 2026
Steward Partners Investment Advisory, LLC $18,220,979 0.17% 74,006 Shares June 30, 2026
Nuveen, LLC $18,134,205 0.17% 73,654 Shares June 30, 2026
AQR CAPITAL MANAGEMENT LLC $17,509,341 0.17% 71,115 Shares June 30, 2026
Affiance Financial, LLC $17,235,749 0.16% 70,004 Shares June 30, 2026
BRIGHTON SECURITIES CORP. $17,188,311 0.16% 69,812 Shares June 30, 2026
Beacon Pointe Advisors, LLC $17,184,445 0.16% 69,796 Shares June 30, 2026
Topsail Wealth Management, LLC $16,961,422 0.16% 68,890 Shares June 30, 2026
Asio Capital, LLC $16,533,774 0.16% 67,153 Shares June 30, 2026
BlackRock, Inc. $16,481,297 0.16% 66,940 Shares June 30, 2026
Kestra Advisory Services, LLC $16,231,949 0.15% 65,927 Shares June 30, 2026
West Financial Advisors, LLC $15,670,739 0.15% 63,648 Shares June 30, 2026
D.A. DAVIDSON & CO. $15,449,926 0.15% 62,751 Shares June 30, 2026
Great Diamond Partners, LLC $15,196,081 0.14% 61,720 Shares June 30, 2026
Savant Capital, LLC $15,109,897 0.14% 66,806 Shares June 30, 2026
Segment Wealth Management, LLC $15,059,737 0.14% 61,166 Shares June 30, 2026

Peer funds

More from this issuer

Fund AUM
VOO VANGUARD INDEX FUNDS $979.0B
VTI VANGUARD INDEX FUNDS $663.5B
VXUS VANGUARD STAR FUNDS $629.1B
VEA VANGUARD TAX-MANAGED FUNDS $230.9B
VUG VANGUARD INDEX FUNDS $223.2B
VTV VANGUARD INDEX FUNDS $186.1B
VGT VANGUARD WORLD FUND $171.8B
VWO VANGUARD INTERNATIONAL EQUITY I… $159.9B
BND VANGUARD BOND INDEX FUNDS $159.8B
VIG VANGUARD SPECIALIZED FUNDS $124.7B

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MGK VANGUARD WORLD FUND $33.1B
VGSH VANGUARD SCOTTSDALE FUNDS $33.9B
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CGDV Capital Group Dividend Value ETF $35.2B
ACWI iShares Trust $31.3B
EEM iShares, Inc. $30.3B
EFV iShares Trust $30.0B
LQD iShares Trust $29.8B
IDEV iShares Trust $29.4B