Universe · entity

Acorns Advisers, LLC

Institutional manager (13F) · CIK 1701879
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $13M
#IssuerValueShares
1VANGUARD INDEX FDS$6M9,608,371
2ISHARES TR$3M36,473,678
3ISHARES TR$1M13,469,227
4ISHARES TR$934k13,833,265
5ISHARES TR$573k11,821,596
6ISHARES TR$452k3,636,427
7ISHARES TR$375k2,652,397
8ISHARES TR$151k1,578,342
9PROSHARES TR$73k7,796,095
10ISHARES TR$60k451,156
11ISHARES TR$55k1,215,383
12JP MORGAN EXCHANGE TRADED FD$54k1,066,602
13ISHARES TR$54k1,062,906
14GOLDMAN SACHS ETF TR$54k536,466
15ISHARES TR$54k486,564
16SPDR SERIES TRUST$54k585,347
17ISHARES TR$30k641,249
18ISHARES TR$28k1,201,622
19ISHARES TR$26k276,788
20NVIDIA CORPORATION$25k143,343
21ISHARES TR$24k1,028,616
22ISHARES TR$17k201,237
23ISHARES TR$17k660,178
24TESLA INC$13k33,833
25APPLE INC$10k40,524
26AMAZON COM INC$9k44,897
27MICROSOFT CORP$5k14,543
28SELECT SECTOR SPDR TR$5k36,868
29META PLATFORMS INC$4k6,243
30ADVANCED MICRO DEVICES INC$3k16,077
31ALPHABET INC$3k9,999
32ALPHABET INC$3k9,379
33BERKSHIRE HATHAWAY INC DEL$3k5,309
34BROADCOM INC$2k7,550
35COSTCO WHOLESALE CORPORATION$2k2,189
36J P MORGAN EXCHANGE TRADED F$2k37,522
37ELI LILLY & CO$2k2,296
38EXXON MOBIL CORP$2k12,283
39CHEVRON CORPORATION$2k9,053
40GE VERNOVA INC$2k2,030
41SELECT SECTOR SPDR TR$2k27,553
42NETFLIX INC.$2k17,121
43WALMART INC$2k13,004
44INTEL CORP$1k27,756
45COCA COLA CO$1k15,240
46ORACLE CORP$1k7,862
47CATERPILLAR INC$1k1,585
48LOCKHEED MARTIN CORP$1k1,815
49GE AEROSPACE$1k3,715
50SELECT SECTOR SPDR TR$92818,787
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.