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Vanguard S&P 500 ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Osaic Holdings
26
Osaic Holdings
Arizona
$830M -$241M -589,450 -24%
Cambridge Investment Research Advisors
27
Cambridge Investment Research Advisors
Iowa
$830M +$43.7M +106,756 +6%
HighTower Advisors
28
HighTower Advisors
Illinois
$781M +$25.3M +61,904 +4%
Citigroup
29
Citigroup
New York
$728M +$81.4M +198,942 +14%
Wolverine Trading
30
Wolverine Trading
Illinois
$694M +$325M +792,705 +100%
Fisher Asset Management
31
Fisher Asset Management
Washington
$683M +$25.3M +61,853 +4%
APTFM
32
AGUR Provident & Training Funds Management
Israel
$614M
Stifel Financial
33
Stifel Financial
Missouri
$613M +$17.4M +42,455 +3%
Pathstone Holdings
34
Pathstone Holdings
New Jersey
$589M +$552M +1,348,202 New
JFG
35
JMG Financial Group
Illinois
$570M +$9.18M +22,422 +2%
Northwestern Mutual Wealth Management
36
Northwestern Mutual Wealth Management
Wisconsin
$570M +$50.9M +124,293 +11%
GT
37
Glenmede Trust
Pennsylvania
$554M +$38.7M +94,435 +8%
CSIA
38
Charles Schwab Investment Advisory
California
$550M -$4.74M -11,581 -0.9%
Commonwealth Equity Services
39
Commonwealth Equity Services
Massachusetts
$543M +$18.1M +44,210 +4%
Jones Financial Companies
40
Jones Financial Companies
Missouri
$537M +$2.51M +6,125 +0.5%
Corient Private Wealth
41
Corient Private Wealth
Florida
$517M -$2.35M -5,739 -0.5%
AIA
42
Angeles Investment Advisors
California
$508M -$118M -288,729 -20%
CCWA
43
CLA (CliftonLarsonAllen) Wealth Advisors
Minnesota
$502M +$19.7M +48,010 +4%
WANY
44
Wealthspire Advisors (New York)
New York
$500M +$11.8M +28,938 +3%
SAI
45
Systematic Alpha Investments
New Jersey
$495M
Schroder Investment Management Group
46
Schroder Investment Management Group
United Kingdom
$480M +$45.7M +111,539 +11%
ERSOT
47
Employees Retirement System of Texas
Texas
$475M
Creative Planning
48
Creative Planning
Kansas
$475M +$73.6M +179,723 +20%
NMIMC
49
Northwestern Mutual Investment Management Company
Wisconsin
$439M -$103M -252,490 -20%
CTAF
50
Call To Action Foundation
Utah
$435M +$408M +996,271 New