Schwab S&P 500 Index Fund (SWPPX)

All holdings as of date 02/28/25
Displaying 1 - 100 of 503
  • APPLE INC

  • NVIDIA CORP

  • MICROSOFT CORP

  • AMAZON COM INC

  • META PLATFORMS INC CLASS A

  • ALPHABET INC CLASS A

  • BERKSHIRE HATHAWAY INC CLASS B

  • BROADCOM INC

  • ALPHABET INC CLASS C

  • TESLA INC

  • JPMORGAN CHASE

  • ELI LILLY

  • VISA INC CLASS A

  • EXXON MOBIL CORP

  • MASTERCARD INC CLASS A

  • COSTCO WHOLESALE CORP

  • UNITEDHEALTH GROUP INC

  • WALMART INC

  • NETFLIX INC

  • PROCTER & GAMBLE

  • JOHNSON & JOHNSON

  • HOME DEPOT INC

  • ABBVIE INC

  • BANK OF AMERICA CORP

  • SALESFORCE INC

  • COCA-COLA

  • ORACLE CORP

  • CHEVRON CORP

  • WELLS FARGO

  • CISCO SYSTEMS INC

  • PHILIP MORRIS INTERNATIONAL INC

  • ABBOTT LABORATORIES

  • INTERNATIONAL BUSINESS MACHINES CO

  • MERCK & CO INC

  • GE AEROSPACE

  • LINDE PLC

  • MCDONALDS CORP

  • ACCENTURE PLC CLASS A

  • PEPSICO INC

  • WALT DISNEY

  • INTUITIVE SURGICAL INC

  • THERMO FISHER SCIENTIFIC INC

  • AT&T INC

  • GOLDMAN SACHS GROUP INC

  • ADOBE INC

  • SERVICENOW INC

  • VERIZON COMMUNICATIONS INC

  • TEXAS INSTRUMENT INC

  • RTX CORP

  • QUALCOMM INC

  • PALANTIR TECHNOLOGIES INC CLASS A

  • INTUIT INC

  • S&P GLOBAL INC

  • AMERICAN EXPRESS

  • CATERPILLAR INC

  • BOOKING HOLDINGS INC

  • AMGEN INC

  • PROGRESSIVE CORP

  • MORGAN STANLEY

  • ADVANCED MICRO DEVICES INC

  • UBER TECHNOLOGIES INC

  • BOSTON SCIENTIFIC CORP

  • CITIGROUP INC

  • PFIZER INC

  • UNION PACIFIC CORP

  • US DOLLAR

  • NEXTERA ENERGY INC

  • GILEAD SCIENCES INC

  • BLACKROCK INC

  • LOWES COMPANIES INC

  • TJX INC

  • HONEYWELL INTERNATIONAL INC

  • COMCAST CORP CLASS A

  • CHARLES SCHWAB CORP

  • FISERV INC

  • DANAHER CORP

  • STRYKER CORP

  • T MOBILE US INC

  • STARBUCKS CORP

  • BOEING

  • APPLIED MATERIAL INC

  • AUTOMATIC DATA PROCESSING INC

  • CONOCOPHILLIPS

  • PALO ALTO NETWORKS INC

  • VERTEX PHARMACEUTICALS INC

  • DEERE

  • BRISTOL MYERS SQUIBB

  • MEDTRONIC PLC

  • MARSH & MCLENNAN INC

  • BLACKSTONE INC

  • EATON PLC

  • PROLOGIS REIT INC

  • ANALOG DEVICES INC

  • CHUBB LTD

  • MICRON TECHNOLOGY INC

  • INTEL CORPORATION CORP

  • INTERCONTINENTAL EXCHANGE INC

  • LAM RESEARCH CORP

  • SOUTHERN

  • ARISTA NETWORKS INC

Fund Name CUSIP Symbol Quantity % of Assets Market Value
APPLE INC AAPL 7.22% $8.1B
NVIDIA CORP NVDA 6.05% $6.8B
MICROSOFT CORP MSFT 5.83% $6.5B
AMAZON COM INC AMZN 3.92% $4.4B
META PLATFORMS INC CLASS A META 2.88% $3.2B
ALPHABET INC CLASS A GOOGL 1.96% $2.2B
BERKSHIRE HATHAWAY INC CLASS B BRK/B 1.86% $2.1B
BROADCOM INC AVGO 1.84% $2.1B
ALPHABET INC CLASS C GOOG 1.62% $1.8B
TESLA INC TSLA 1.62% $1.8B
JPMORGAN CHASE JPM 1.47% $1.6B
ELI LILLY LLY 1.43% $1.6B
VISA INC CLASS A V 1.24% $1.4B
EXXON MOBIL CORP XOM 0.97% $1.1B
MASTERCARD INC CLASS A MA 0.93% $1.0B
COSTCO WHOLESALE CORP COST 0.92% $1.0B
UNITEDHEALTH GROUP INC UNH 0.86% $965.4M
WALMART INC WMT 0.85% $945.3M
NETFLIX INC NFLX 0.83% $925.7M
PROCTER & GAMBLE PG 0.81% $904.2M
JOHNSON & JOHNSON JNJ 0.78% $877.5M
HOME DEPOT INC HD 0.78% $870.1M
ABBVIE INC ABBV 0.73% $815.8M
BANK OF AMERICA CORP BAC 0.61% $679.7M
SALESFORCE INC CRM 0.56% $628.9M
COCA-COLA KO 0.55% $609.8M
ORACLE CORP ORCL 0.53% $589.5M
CHEVRON CORP CVX 0.52% $585.5M
WELLS FARGO WFC 0.51% $575.9M
CISCO SYSTEMS INC CSCO 0.50% $564.4M
PHILIP MORRIS INTERNATIONAL INC PM 0.48% $533.2M
ABBOTT LABORATORIES ABT 0.47% $528.7M
INTERNATIONAL BUSINESS MACHINES CO IBM 0.46% $515.5M
MERCK & CO INC MRK 0.46% $515.4M
GE AEROSPACE GE 0.44% $494.8M
LINDE PLC LIN 0.44% $491.2M
MCDONALDS CORP MCD 0.44% $488.0M
ACCENTURE PLC CLASS A ACN 0.43% $480.9M
PEPSICO INC PEP 0.42% $465.0M
WALT DISNEY DIS 0.41% $455.2M
INTUITIVE SURGICAL INC ISRG 0.40% $450.9M
THERMO FISHER SCIENTIFIC INC TMO 0.40% $446.9M
AT&T INC T 0.39% $434.4M
GOLDMAN SACHS GROUP INC GS 0.39% $431.4M
ADOBE INC ADBE 0.38% $426.4M
SERVICENOW INC NOW 0.38% $423.0M
VERIZON COMMUNICATIONS INC VZ 0.36% $400.7M
TEXAS INSTRUMENT INC TXN 0.35% $394.9M
RTX CORP RTX 0.35% $390.9M
QUALCOMM INC QCOM 0.34% $385.7M
PALANTIR TECHNOLOGIES INC CLASS A PLTR 0.34% $384.5M
INTUIT INC INTU 0.34% $380.0M
S&P GLOBAL INC SPGI 0.33% $374.3M
AMERICAN EXPRESS AXP 0.33% $370.3M
CATERPILLAR INC CAT 0.33% $366.8M
BOOKING HOLDINGS INC BKNG 0.33% $366.7M
AMGEN INC AMGN 0.33% $365.7M
PROGRESSIVE CORP PGR 0.33% $364.9M
MORGAN STANLEY MS 0.33% $364.7M
ADVANCED MICRO DEVICES INC AMD 0.32% $357.9M
UBER TECHNOLOGIES INC UBER 0.32% $353.5M
BOSTON SCIENTIFIC CORP BSX 0.30% $337.8M
CITIGROUP INC C 0.30% $334.0M
PFIZER INC PFE 0.30% $330.8M
UNION PACIFIC CORP UNP 0.30% $330.3M
US DOLLAR USD 0.29% $327.7M
NEXTERA ENERGY INC NEE 0.28% $318.7M
GILEAD SCIENCES INC GILD 0.28% $314.7M
BLACKROCK INC BLK 0.28% $314.4M
LOWES COMPANIES INC LOW 0.28% $311.5M
TJX INC TJX 0.28% $310.8M
HONEYWELL INTERNATIONAL INC HON 0.27% $305.7M
COMCAST CORP CLASS A CMCSA 0.27% $302.5M
CHARLES SCHWAB CORP SCHW 0.27% $297.3M
FISERV INC FI 0.26% $296.2M
DANAHER CORP DHR 0.26% $295.0M
STRYKER CORP SYK 0.26% $292.7M
T MOBILE US INC TMUS 0.26% $290.3M
STARBUCKS CORP SBUX 0.26% $290.0M
BOEING BA 0.26% $288.3M
APPLIED MATERIAL INC AMAT 0.26% $287.8M
AUTOMATIC DATA PROCESSING INC ADP 0.25% $283.7M
CONOCOPHILLIPS COP 0.25% $283.3M
PALO ALTO NETWORKS INC PANW 0.25% $275.3M
VERTEX PHARMACEUTICALS INC VRTX 0.24% $273.0M
DEERE DE 0.24% $270.3M
BRISTOL MYERS SQUIBB BMY 0.24% $267.3M
MEDTRONIC PLC MDT 0.23% $260.8M
MARSH & MCLENNAN INC MMC 0.23% $258.0M
BLACKSTONE INC BX 0.23% $257.1M
EATON PLC ETN 0.23% $256.1M
PROLOGIS REIT INC PLD 0.23% $253.5M
ANALOG DEVICES INC ADI 0.23% $252.3M
CHUBB LTD CB 0.21% $236.4M
MICRON TECHNOLOGY INC MU 0.20% $229.3M
INTEL CORPORATION CORP INTC 0.20% $226.0M
INTERCONTINENTAL EXCHANGE INC ICE 0.20% $219.4M
LAM RESEARCH CORP LRCX 0.19% $218.1M
SOUTHERN SO 0.19% $217.4M
ARISTA NETWORKS INC ANET 0.19% $212.5M