13F

Investor

Acorns Advisers, LLC

CIK 0001701879 · filed 2026-05-14 · SEC filing

13F book

$13.5M

Positions

105

1 new · 1 sold

Largest name

42.7%

Vanguard Index Fds

Est. mark

−$218.9K

Price effect on 104 names still held. Flow $352.1K.
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds9.61M$5.74M42.7%−$271.6KAdded−$17.6K
Ishares Tr36.5M$3.16M23.5%$72.9KCut$60.3K
Ishares Tr13.5M$1.34M9.9%−$8.04KAdded$20.5K
Ishares Tr13.8M$934.2K6.9%$20.9KAdded$33.1K
Ishares Tr11.8M$572.9K4.3%−$3.35KAdded$9.58K
Ishares Tr3.64M$452K3.4%$14.9KAdded$18.2K
Ishares Tr2.65M$375.1K2.8%−$19.4KAdded−$7.15K
Ishares Tr1.58M$150.9K1.1%$837Cut−$553
Proshares Tr7.8M$72.6K0.5%−$17.9KAdded−$3.72K
Ishares Tr451.2K$59.6K0.4%−$3.18KAdded−$1.53K
Ishares Inc1.22M$55.3K0.4%$1.58KCut$136
J P Morgan Exchange Traded F1.07M$54K0.4%$21Added$3.01K
Ishares Tr1.06M$53.8K0.4%$41Added$2.42K
Goldman Sachs Etf Tr536.5K$53.7K0.4%$128Added$2.64K
Ishares Tr486.6K$53.7K0.4%$112Added$2.27K
Spdr Series Trust585.3K$53.6K0.4%$146Added$2.2K
Ishares Tr641.2K$30.2K0.2%$666Cut$317
Ishares Tr1.2M$27.5K0.2%−$138Added−$85
Ishares Tr276.8K$26.3K0.2%−$74Added−$73
Nvidia CorpNVDA143.3K$25K0.2%−$1.56KAdded$903
Ishares Tr1.03M$23.8K0.2%−$252Added−$74
Ishares Tr201.2K$16.6K0.1%−$50Added−$25
Ishares Tr660.2K$16.5K0.1%−$115Added−$51
Tesla, Inc.TSLA33.8K$12.6K0.1%−$2.36KAdded−$1.05K
Apple Inc.AAPL40.5K$10.3K0.1%−$662Added$319
Amazon Com IncAMZN44.9K$9.35K0.1%−$856Added$589
Microsoft CorpMSFT14.5K$5.38K0.0%−$1.3KAdded−$152
Select Sector Spdr Tr36.9K$4.9K0.0%−$358Added$241
Meta Platforms, Inc.META6.24K$3.57K0.0%−$438Added$285
Advanced Micro Devices IncAMD16.1K$3.27K0.0%−$158Added$110
Alphabet Inc10K$2.87K0.0%−$238Added$97
Alphabet Inc9.38K$2.7K0.0%−$186Added$400
Berkshire Hathaway Inc Del5.31K$2.54K0.0%−$116Added$66
Broadcom Inc.AVGO7.55K$2.34K0.0%−$225Added$208
Costco Whsl Corp New2.19K$2.18K0.0%$278Added$393
J P Morgan Exchange Traded F37.5K$2.13K0.0%−$18Added$262
Eli Lilly & CoLLY2.3K$2.11K0.0%−$307Added−$15
Exxon Mobil Corp12.3K$2.08K0.0%$536Added$777
Chevron Corp NewCVX9.05K$1.87K0.0%$330Added$951
GE Vernova Inc.GEV2.03K$1.77K0.0%$429Added$494
Select Sector Spdr Tr27.6K$1.69K0.0%$408Added$588
Netflix IncNFLX17.1K$1.65K0.0%$31Added$437
Walmart Inc.WMT13K$1.62K0.0%$155Added$279
Intel CorpINTC27.8K$1.23K0.0%$201Cut$132
Coca Cola CoKO15.2K$1.16K0.0%$78Added$265
Oracle Corp7.86K$1.16K0.0%−$273Added$43
Caterpillar IncCAT1.58K$1.12K0.0%$197Added$291
Lockheed Martin CorpLMT1.81K$1.1K0.0%$191Added$333
Ge Aerospace3.71K$1.05K0.0%−$81Added$17
Select Sector Spdr Tr18.8K$9280.0%−$85Added$59
Home Depot, Inc.HD2.54K$8360.0%−$35Added$41
BlackRock, Inc.BLK836$8040.0%−$77Added$46
Jpmorgan Chase & Co.2.69K$7920.0%−$62Added$93
Unitedhealth Group IncUNH2.93K$7920.0%−$140Added$16
Select Sector Spdr Tr4.97K$7290.0%−$36Added$50
Mcdonalds CorpMCD2.25K$7000.0%$11Added$76
Johnson & JohnsonJNJ2.69K$6560.0%$91Added$151
Select Sector Spdr Tr14K$6420.0%$38Added$133
Starbucks CorpSBUX6.62K$5930.0%$36Added$38
Boeing Co2.93K$5830.0%−$52Added−$33
Prologis Inc.4.33K$5720.0%$19Added$57
International Business Machs2.34K$5680.0%−$100Added$19
Disney Walt Co5.73K$5520.0%−$84Added$5
Select Sector Spdr Tr3.36K$5440.0%$19Added$99
Duke Energy Corp New3.93K$5140.0%$48Added$100
NIKE, Inc.NKE9.6K$5070.0%−$89Added−$13
American Tower Corp New2.86K$4940.0%−$8Added$32
Visa Inc.V1.56K$4710.0%−$65Added$4
Pfizer IncPFE16.5K$4650.0%$50Added$77
American Express CoAXP1.53K$4630.0%−$77Added$41
RTX CorpRTX2.28K$4400.0%$18Added$109
Select Sector Spdr Tr3.76K$4170.0%−$23Added$21
Nextera Energy Inc4.44K$4120.0%$52Added$73
United Parcel Service IncUPS4.19K$4120.0%−$3Added$29
S&P Global Inc.SPGI965$4100.0%−$75Added$8
Deere & CoDE697$3930.0%$68Added$73
Applied Matls Inc1.11K$3800.0%$91Added$104
ConocophillipsCOP2.88K$3800.0%$99Added$138
Southern Co3.82K$3690.0%$36Added$37
AbbVie Inc.ABBV1.66K$3620.0%−$16Added$28
Select Sector Spdr Tr4.11K$3370.0%$15Added$68
At&T Inc11.4K$3300.0%$47Cut$45
Salesforce, Inc.CRM1.74K$3240.0%−$103Added−$26
Select Sector Spdr Tr6.45K$3220.0%$26Added$58
Ark Etf Tr12.2K$3220.0%−$27Added$13
Cisco Sys Inc4.11K$3190.0%$2Added$42
Goldman Sachs Group Inc373$3160.0%−$9Added$49
Procter And Gamble CoPG2.08K$3000.0%$2Added$36
Merck & Co., Inc.MRK2.48K$2980.0%$36Added$41
Qualcomm Inc2.25K$2900.0%−$71Added$1
Verizon Communications IncVZ5.76K$2890.0%$50Added$73
Booking Holdings Inc.BKNG67$2820.0%−$68Added−$34
Intuitive Surgical IncISRG587$2710.0%−$51Added−$7
Altria Group, Inc.MO4.03K$2660.0%$33Added$41
Schwab Charles Corp2.69K$2530.0%−$13Added$35
Pepsico IncPEP1.63K$2530.0%$17Added$32
Lowes Cos Inc1.06K$2500.0%−$5Added$12
Cvs Health CorpCVS3.41K$2450.0%−$22Added$7
Blackstone Inc.BX2.04K$2350.0%New
Adobe Inc.ADBE946$2300.0%−$80Added−$32
Bank America Corp4.73K$2300.0%−$27Added−$7
Mastercard IncMA459$2290.0%−$28Added$4
3M COMMM1.53K$2220.0%−$22Added−$11
ServiceNow, Inc.NOW2.09K$2180.0%−$67Added$9
Ishares Tr2.07K$2140.0%$2Cut−$1

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.