ETF Components for IVV - iShares Core S&P 500 ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
MSFT D 0.37 7.25
AAPL F 1.27 5.79
NVDA D -3.33 5.08
AMZN B -1.64 3.94
META B -0.52 2.59
GOOGL A 0.55 2.14
GOOG A 0.74 1.81
BRK.A C -0.29 1.70
LLY D -1.81 1.40
AVGO D 0.61 1.38
JPM B 0.49 1.23
XOM A 0.02 1.11
UNH C 0.23 1.02
TSLA D 12.06 1.02
V C 0.33 1.01
MA C -0.07 0.89
PG A 0.68 0.86
JNJ F -0.69 0.82
HD D -1.77 0.78
MRK A 0.09 0.75
COST C 0.17 0.75
ABBV C -1.03 0.68
CVX A 0.44 0.64
NFLX D -3.92 0.63
CRM D -0.18 0.63
AMD D -0.35 0.62
WMT A 1.32 0.60
BAC A -0.13 0.56
PEP A 3.62 0.54
KO A 1.50 0.53
ADBE D 0.89 0.51
LIN D -0.17 0.51
TMO B 0.49 0.50
DIS B 0.18 0.49
WFC A -0.56 0.48
CSCO D 0.06 0.46
ACN F -1.04 0.46
ABT D -0.65 0.45
ORCL D 0.22 0.45
MCD D -0.05 0.45
QCOM B 1.41 0.44
CAT A 0.07 0.43
AMAT D 1.46 0.41
IBM C 1.05 0.40
GE A -2.11 0.40
INTU C 0.73 0.40
VZ D -0.53 0.39
DHR B -1.07 0.37
TXN B 5.64 0.36
UBER D -2.03 0.36
COP A -0.43 0.36
NOW C 0.72 0.36
INTC F 0.64 0.36
CMCSA D -0.37 0.36
PFE F -0.19 0.34
PM A 1.39 0.33
UNP D -1.82 0.33
AMGN C -0.19 0.33
MU B -0.60 0.32
SPGI D 0.00 0.31
LOW C -1.40 0.31
ISRG D -0.55 0.31
RTX A -0.36 0.31
HON C -0.70 0.30
ETN A 1.90 0.30
LRCX D -0.29 0.30
NEE A 0.54 0.30
GS A -0.23 0.30
PGR A -0.85 0.29
AXP A 0.07 0.29
ELV A 0.15 0.28
BKNG C -0.47 0.28
NKE D 0.66 0.27
SYK C 0.58 0.27
T B 1.88 0.27
C A -0.32 0.26
SCHW A -0.05 0.26
MS A 0.10 0.26
BLK C -0.50 0.25
MDT D -1.12 0.25
PLD F -1.57 0.25
TJX C 0.83 0.25
ADP B -0.09 0.24
CI A -0.10 0.24
VRTX C -1.02 0.24
DE B -0.65 0.24
UPS D -1.51 0.24
MMC C -0.38 0.23
SBUX D 1.00 0.23
LMT A -0.20 0.23
BA F -2.87 0.23
BMY F -0.27 0.23
CB D -2.75 0.23
BSX A 5.68 0.23
KLAC D 1.29 0.22
REGN C -0.09 0.22
ADI B 3.46 0.22
BX C -0.43 0.21
FI B -2.02 0.21
MDLZ B 0.79 0.21
TMUS B 0.57 0.20
GILD F 0.07 0.20
PANW B 0.11 0.20
CVS F -1.07 0.20
AMT F -0.48 0.19
CMG A 0.40 0.19
CDNS D -1.46 0.19
SNPS D 0.00 0.19
ICE C 0.18 0.18
MPC B -0.26 0.18
WM A 0.79 0.18
TGT B -0.70 0.18
EOG A 0.59 0.18
ZTS F 0.88 0.17
FCX B 0.52 0.17
CL A 0.33 0.17
DUK A 0.77 0.17
MO A 0.12 0.17
SHW D 0.45 0.17
SLB F -0.89 0.17
SO A 0.90 0.17
CME C -1.93 0.17
ANET D 1.43 0.16
BDX F -0.23 0.16
TT A 0.47 0.16
APH A 1.79 0.16
PSX B -0.66 0.16
PYPL A 0.64 0.16
TDG A -0.06 0.16
ABNB B 1.17 0.16
ITW C 0.45 0.16
CSX D -3.02 0.16
MCK A 0.64 0.16
EQIX D -0.66 0.16
PH A -0.74 0.16
HCA C -0.13 0.15
PXD A 0.11 0.15
NOC A -0.02 0.15
EMR B -0.14 0.15
USB C 1.56 0.15
ORLY C 0.03 0.15
GD A -3.97 0.15
CTAS B -0.33 0.14
VLO B -0.32 0.14
PNC A 0.29 0.14
MCO C -0.25 0.14
NXPI C 4.18 0.14
CEG B -1.11 0.14
MAR C 1.82 0.14
AON D -0.97 0.14
FDX B -2.09 0.14
PCAR D 0.37 0.14
EW C 0.98 0.13
NSC D -3.60 0.13
ECL C 0.51 0.13
ROP C -0.30 0.13
MSI A -0.13 0.13
WELL A 0.83 0.12
SMCI D -0.94 0.12
GM A -0.04 0.12
AJG C -0.45 0.12
MMM A -1.05 0.12
AZO C 0.93 0.12
APD D 0.42 0.12
TRV D -0.42 0.12
HLT C 3.89 0.12
AIG B 0.05 0.12
COF A 0.66 0.12
DXCM A 2.89 0.12
OKE A 0.75 0.11
ROST D -0.36 0.11
SPG C -0.67 0.11
CARR D -0.67 0.11
WMB A 1.21 0.11
MCHP B 5.21 0.11
F B 0.08 0.11
NUE D -1.08 0.11
CPRT B 1.14 0.11
TFC A -0.13 0.11
ADSK F -1.34 0.11
MNST D 1.12 0.10
MSCI F 4.18 0.10
IDXX D 0.09 0.10
CCI D -0.03 0.10
BK A 0.89 0.10
FTNT C 1.00 0.10
AMP D 1.27 0.10
DLR C 1.50 0.10
AME C -0.91 0.10
HES A 1.40 0.10
STZ A -0.04 0.10
PSA D -0.02 0.10
SRE B 0.73 0.10
AEP B 0.95 0.10
IQV C 0.93 0.10
FIS A -1.52 0.10
KMB A 1.28 0.10
O A 0.52 0.10
GWW C 0.26 0.10
MET B 0.69 0.10
AFL B 0.63 0.10
ALL A -1.72 0.10
DHI D -1.29 0.10
JCI A -0.86 0.10
NEM A 2.36 0.10
OXY A -0.09 0.10
URI C -0.93 0.10
TEL D -2.26 0.10
PWR A 0.49 0.09
GEHC C 0.56 0.09
FANG A 0.43 0.09
KR A 0.93 0.09
IR B 2.13 0.09
MLM B -0.43 0.09
CTVA C -0.74 0.09
LEN C -1.01 0.09
SYY C 0.43 0.09
LHX C 0.01 0.09
RSG A 0.72 0.09
GIS A 1.12 0.09
CNC C 0.46 0.09
YUM A 1.22 0.09
PAYX B 0.74 0.09
HUM F -3.66 0.09
PRU B 0.63 0.09
OTIS D -4.21 0.09
LULU D -0.02 0.09
D A 1.11 0.09
FAST D 0.92 0.09
ODFL D -11.05 0.09
COR C 0.11 0.09
DOW B 0.42 0.09
A C -1.23 0.09
CMI A -0.12 0.09
EL B -1.09 0.08
PEG A 1.11 0.08
BKR B -1.00 0.08
GPN C 0.47 0.08
ADM B -0.37 0.08
CDW C 0.09 0.08
VRSK D 0.00 0.08
ROK F -0.28 0.08
KVUE F -1.24 0.08
DVN A -0.89 0.08
ACGL A -0.63 0.08
CTSH D -0.37 0.08
PCG A 0.24 0.08
KMI A 0.27 0.08
HAL B 0.34 0.08
VMC D -1.13 0.08
MRNA A 0.89 0.08
CSGP B 8.66 0.08
GEV B -1.12 0.08
EXC A 0.56 0.08
IT D 0.18 0.08
ON D 6.24 0.07
WST A -1.15 0.07
VICI D -0.52 0.07
BIIB D 4.56 0.07
ANSS C 0.80 0.07
FTV D -5.76 0.07
FICO C 0.41 0.07
EXR D 1.02 0.07
XEL B 0.11 0.07
KHC A 1.31 0.07
HIG A -0.17 0.07
EFX D 0.56 0.07
DAL A -2.62 0.07
RCL A 0.04 0.07
DFS A -0.17 0.07
ED A 0.64 0.07
EA D 0.79 0.07
XYL A -0.04 0.07
DD A 0.22 0.07
PPG D 0.07 0.07
MPWR C 5.04 0.07
KDP A 1.83 0.07
DG D 0.30 0.07
GLW C -0.03 0.06
DOV A -0.49 0.06
HPQ D 1.55 0.06
NVR A -0.47 0.06
WEC A 0.82 0.06
HWM C -0.09 0.06
TROW D -0.79 0.06
LYB A 0.23 0.06
AVB A 1.42 0.06
CBRE C -0.39 0.06
TRGP A 0.77 0.06
CHD A 0.60 0.06
CHTR F -0.60 0.06
ZBH D -0.29 0.06
EIX A -0.04 0.06
DLTR F -0.14 0.06
WAB A 10.04 0.06
CAH D 0.16 0.06
EBAY A -0.14 0.06
WTW C 0.30 0.06
MTD C -0.48 0.06
TSCO B 0.85 0.06
KEYS D -0.14 0.06
RMD C -0.24 0.06
HSY D 0.57 0.06
PPL A 0.48 0.05
STE D -1.55 0.05
VLTO A -1.41 0.05
ES A 0.81 0.05
APTV F 1.64 0.05
BAX C -0.22 0.05
BALL A -0.47 0.05
GPC A -0.97 0.05
CTRA A 1.17 0.05
ULTA F -2.08 0.05
EQR A 2.41 0.05
MOH C 1.15 0.05
DECK C 2.69 0.05
SBAC D 0.35 0.05
NTAP B 0.64 0.05
AXON B 0.28 0.05
IFF A -0.34 0.05
HUBB A 0.14 0.05
STLD B -3.16 0.05
ETR A -0.67 0.05
DTE A 1.30 0.05
PTC C 0.03 0.05
CPAY A 0.26 0.05
ALGN B 0.61 0.05
GRMN A 0.20 0.05
IRM B 2.08 0.05
STT A -0.13 0.05
AWK C 1.24 0.05
HPE B 0.59 0.05
BLDR C -0.29 0.05
PHM B -0.44 0.05
BR D -0.42 0.05
NDAQ A 0.67 0.05
MTB A 0.75 0.05
RJF A 0.31 0.05
WDC B -0.53 0.05
TTWO D 0.78 0.05
FITB A 0.46 0.05
WY D -0.54 0.05
EQT A 3.82 0.04
SNA D 0.83 0.04
JBHT F -1.74 0.04
ESS A 2.31 0.04
ENPH F -5.56 0.04
BG B -3.49 0.04
CFG A 1.57 0.04
AKAM D 0.42 0.04
CE D -0.40 0.04
EG D -0.79 0.04
SWKS D 1.83 0.04
MAS D -4.48 0.04
PKG D 1.78 0.04
TER D 0.85 0.04
VRSN F 0.23 0.04
SYF A 5.04 0.04
FDS D 0.69 0.04
STX C 0.67 0.04
NTRS B 0.14 0.04
MRO B -1.04 0.04
WRB D -1.56 0.04
TSN A 0.56 0.04
LUV C -0.54 0.04
CMS A 0.55 0.04
VTR C 0.11 0.04
TYL C 0.13 0.04
NRG A 1.57 0.04
EXPD D -0.18 0.04
JBL F -0.54 0.04
EXPE B 0.58 0.04
ATO A 0.84 0.04
DPZ A 1.36 0.04
AVY C 0.52 0.04
LDOS A 0.17 0.04
LH D -0.01 0.04
PFG B 0.80 0.04
CNP A 1.18 0.04
IEX D -3.28 0.04
RF B 2.17 0.04
HOLX A -0.62 0.04
CLX C 1.24 0.04
COO D -1.61 0.04
OMC A 1.87 0.04
MKC A 1.11 0.04
WBD F -0.71 0.04
J D -0.45 0.04
TXT A -1.33 0.04
CINF A -0.75 0.04
DRI C 0.46 0.04
ARE C 0.13 0.04
FSLR B -1.45 0.04
AEE B 0.93 0.04
WAT D -0.97 0.04
LVS F -0.37 0.04
ILMN D -1.28 0.04
HBAN A 0.95 0.04
TDY F -10.95 0.04
INVH B 0.53 0.04
FE B 0.47 0.04
BRO C -0.96 0.04
AES A 1.40 0.03
UDR A 1.66 0.03
QRVO C 3.86 0.03
FFIV D 1.18 0.03
HII C 0.50 0.03
NI A 0.90 0.03
KMX D 0.83 0.03
ALLE C -0.34 0.03
EMN B -0.45 0.03
EVRG A 0.44 0.03
GEN C 0.73 0.03
IPG C 1.32 0.03
MGM D -0.33 0.03
SJM D 0.72 0.03
TAP D -0.75 0.03
APA D -0.03 0.03
KIM D -0.54 0.03
JNPR D -1.45 0.03
LW D 0.96 0.03
CRL C -0.29 0.03
JKHY D -0.77 0.03
PODD F -0.01 0.03
LNT A 0.80 0.03
WRK A 0.81 0.03
ROL D 0.52 0.03
RVTY D -0.79 0.03
IP D 0.06 0.03
DOC A 0.98 0.03
WBA F -1.33 0.03
AMCR D 0.89 0.03
LKQ F 3.91 0.03
LYV D -0.49 0.03
PNR D 0.66 0.03
KEY B 1.43 0.03
VTRS C 1.67 0.03
L B 0.12 0.03
ALB F 0.93 0.03
HST C 0.21 0.03
UAL A -2.52 0.03
SWK D -0.52 0.03
CCL D 1.49 0.03
DGX A 0.62 0.03
NDSN D -0.77 0.03
POOL C 0.64 0.03
CAG A 0.96 0.03
ZBRA D 0.35 0.03
BBY D -0.81 0.03
MAA C 0.71 0.03
EPAM F -1.13 0.03
K A 1.05 0.03
TRMB C -0.30 0.03
CF C 0.90 0.03
CMA A 0.59 0.02
IVZ F -0.41 0.02
FMC F -0.43 0.02
DVA B -0.87 0.02
FRT A 0.71 0.02
HAS A 11.85 0.02
FOXA A 0.00 0.02
RHI D -0.04 0.02
BEN D 0.08 0.02
NCLH B -0.77 0.02
BWA B 0.93 0.02
MKTX F -0.27 0.02
CHRW D 0.84 0.02
GNRC A 0.79 0.02
PNW A 0.05 0.02
ETSY F -2.17 0.02
BXP B 0.02 0.02
CPB A 1.29 0.02
CZR F -1.64 0.02
AAL D -2.18 0.02
SOLV C 0.06 0.02
MTCH F 0.79 0.02
AIZ C 0.42 0.02
PAYC D -0.10 0.02
DAY F 0.71 0.02
NWSA C -0.20 0.02
HSIC D 0.62 0.02
REG D -0.78 0.02
TPR D 1.50 0.02
WYNN D -1.78 0.02
HRL A 1.31 0.02
UHS C 0.60 0.02
TFX D 0.03 0.02
BBWI C 1.04 0.02
INCY F 0.17 0.02
MOS F 0.26 0.02
TECH F -0.27 0.02
CTLT D -0.14 0.02
CPT A 0.26 0.02
AOS A -1.05 0.02
NWS C -0.39 0.01
FOX A 0.45 0.01
PARA B -0.47 0.01
GL D 3.75 0.01
MHK C -1.80 0.01
BIO F -2.48 0.01

Recent News for iShares Core S&P 500 ETF & its Holdings

Date Stock Title
Apr 24 F Expect 'growing pains' in the EV sector: Analyst
Apr 24 F Ford's Q1 results top Street estimates
Apr 24 F Ford's 1Q net income falls 24% as combustion engine unit sees sales and revenue decline
Apr 24 F Ford's commercial division compensates for loss in EVs
Apr 24 F Ford Earnings Surprise Wall Street. Auto Giant Maintains 2024 Profit Outlook.
Apr 24 F Ford in charts: Q1 adjusted EBIT falls 18%, total wholesale units edge lower
Apr 24 F Ford Motor declares $0.15 dividend
Apr 24 AMD Should You Buy AMD Stock Before Earnings?
Apr 24 F Ford tops Q1 earnings expectations, sees full-year profit 'tracking to high-end' of guidance
Apr 24 F UPDATE 2-Ford profit tops expectations on strong commercial, hybrid sales
Apr 24 F Ford profit tops expectations on strong commercial, hybrid sales
Apr 24 F Ford Motor Non-GAAP EPS of $0.49 beats by $0.05, revenue of $42.78B beats by $1.31B
Apr 24 F Customers Find Appeal in ‘Freedom’ of Ford Powertrain Choices, Contributing to Solid Q1 Results, Setting up Strong Full Year
Apr 24 DGX Peering Into Quest Diagnostics's Recent Short Interest
Apr 24 AMZN Ambani's JioCinema cuts subscription prices as India's streaming war heats up
Apr 24 AMZN Hawaiian Airlines slowly adds freighters for Amazon business
Apr 24 STLD Steel Dynamics, Inc. 2024 Q1 - Results - Earnings Call Presentation
Apr 24 STLD Steel Dynamics, Inc. (STLD) Q1 2024 Earnings Call Transcript
Apr 24 AAPL Apple looks to Southeast Asia, India as hedge against China difficulties
Apr 24 AMZN Microsoft to report Q3 revenue as Wall Street looks for AI growth
The investment seeks to track the investment results of an index composed of large-capitalization U.S. equities. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. It seeks to track the investment results of the S&P 500® (the "underlying index"), which measures the performance of the large-capitalization sector of the U.S. equity market.
Exchange Traded Fund ETF Index Fund
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