Index Funds Holdings
You have $99,058 (99.06% of portfolio) in 7,973 holdings
Breakdown by Countries

click to view more

Filter by countries
Breakdown by Sectors

click to view more

Filter by sectors
CountrySectorPercentageYou own
Microsoft Corp.🇺🇸USASystems Software
1.98%
$1,980.00
Apple Inc.🇺🇸USATechnology Hardware-Storage - Periphera
1.9%
$1,900.38
Alphabet Inc.🇺🇸USAInteractive Media - Services
1.38%
$1,381.90
Amazon.com Inc.🇺🇸USAInternet - Direct Marketing Retail
1.35%
$1,347.30
Berkshire Hathaway Inc.🇺🇸USAMulti-Sector Holdings
0.76%
$764.28
JPMorgan Chase & Co.🇺🇸USADiversified Banks
0.7%
$700.90
Johnson & Johnson🇺🇸USAPharmaceuticals
0.64%
$643.84
Nestle SA🇨🇭SwitzerlandPackaged Foods - Meats
0.59%
$587.23
Procter & Gamble Co.🇺🇸USAHousehold Products
0.58%
$575.94
Visa Inc.🇺🇸USAData Processing - Outsourced Services
0.56%
$564.94
Exxon Mobil Corp.🇺🇸USAIntegrated Oil - Gas
0.56%
$559.86
AT&T Inc.🇺🇸USAIntegrated Telecommunication Services
0.52%
$517.49
Home Depot Inc.🇺🇸USAHome Improvement Retail
0.48%
$479.03
Verizon Communications Inc.🇺🇸USAIntegrated Telecommunication Services
0.47%
$467.94
Bank of America Corp.🇺🇸USADiversified Banks
0.46%
$460.15
Mastercard Inc.🇺🇸USAData Processing - Outsourced Services
0.46%
$458.52
Alibaba Group Holding Ltd.🇨🇳ChinaInternet - Direct Marketing Retail
0.45%
$448.45
Tencent Holdings Ltd.🇨🇳ChinaInteractive Media - Services
0.45%
$447.22
Royal Dutch Shell plc🇬🇧United KingdomIntegrated Oil - Gas
0.44%
$443.40
Intel Corp.🇺🇸USASemiconductors
0.43%
$427.98
Walt Disney Co.🇺🇸USAMovies - Entertainment
0.43%
$426.21
Chevron Corp.🇺🇸USAIntegrated Oil - Gas
0.42%
$423.52
Samsung Electronics Co. Ltd.🇰🇷KoreaTechnology Hardware-Storage - Periphera
0.41%
$414.04
Merck & Co. Inc.🇺🇸USAPharmaceuticals
0.41%
$406.19
Taiwan Semiconductor Manufacturing Co. Ltd.🇹🇼TaiwanSemiconductors
0.41%
$405.18
Cisco Systems Inc.🇺🇸USACommunications Equipment
0.4%
$396.54
Roche Holding AG🇨🇭SwitzerlandPharmaceuticals
0.39%
$393.57
Coca-Cola Co.🇺🇸USASoft Drinks
0.39%
$390.95
UnitedHealth Group Inc.🇺🇸USAManaged Health Care
0.38%
$384.77
Comcast Corp.🇺🇸USACable - Satellite
0.38%
$380.33
Boeing Co.🇺🇸USAAerospace - Defense
0.38%
$377.22
Wells Fargo & Co.🇺🇸USADiversified Banks
0.38%
$375.13
Pfizer Inc.🇺🇸USAPharmaceuticals
0.37%
$374.46
PepsiCo Inc.🇺🇸USASoft Drinks
0.36%
$359.74
Novartis AG🇨🇭SwitzerlandPharmaceuticals
0.35%
$349.99
Toyota Motor Corp.🇯🇵JapanAutomobile Manufacturers
0.31%
$313.81
Walmart Inc.🇺🇸USAHypermarkets - Super Centers
0.31%
$312.18
McDonald's Corp.🇺🇸USARestaurants
0.31%
$308.62
Citigroup Inc.🇺🇸USADiversified Banks
0.29%
$292.20
HSBC Holdings plc🇬🇧United KingdomDiversified Banks
0.29%
$290.70
Medtronic plc🇺🇸USAHealth Care Equipment
0.27%
$273.05
Abbott Laboratories🇺🇸USAHealth Care Equipment
0.27%
$269.90
Adobe Inc.🇺🇸USAApplication Software
0.25%
$251.98
International Business Machines Corp.🇺🇸USAIT Consulting - Other Services
0.24%
$241.61
Costco Wholesale Corp.🇺🇸USAHypermarkets - Super Centers
0.24%
$237.12
BP plc🇬🇧United KingdomIntegrated Oil - Gas
0.24%
$236.24
TOTAL SA🇫🇷FranceIntegrated Oil - Gas
0.24%
$235.31
Oracle Corp.🇺🇸USASystems Software
0.23%
$231.11
Accenture plc🇺🇸USAIT Consulting - Other Services
0.23%
$229.64
50 of 7,973
display more »